v3.26.1
FAIR VALUE MEASUREMENTS - Schedule of the Group's Financial Assets, Financial Liabilities and Redeemable Non-Controlling Interests (Details) - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
 Financial assets measured at fair value:    
 Available for sale – Player deposits – Investments $ 5 $ 23
 Equity securities – Investments 6 7
 Derivative financial assets 60 43
 Total 71 73
 Financial liabilities measured at fair value:    
 Derivative financial liabilities 22 86
 Fox Option liability 220 560
 Total 242 646
 Redeemable non-controlling interests at fair value 269 309
  Level 1      
 Financial assets measured at fair value:    
 Available for sale – Player deposits – Investments 5 17
 Equity securities – Investments 0 0
 Derivative financial assets 0 0
 Total 5 17
 Financial liabilities measured at fair value:    
 Derivative financial liabilities 0 0
 Fox Option liability 0 0
 Total 0 0
 Redeemable non-controlling interests at fair value 0 0
  Level 2      
 Financial assets measured at fair value:    
 Available for sale – Player deposits – Investments 0 6
 Equity securities – Investments 0 0
 Derivative financial assets 60 43
 Total 60 49
 Financial liabilities measured at fair value:    
 Derivative financial liabilities 22 86
 Fox Option liability 0 0
 Total 22 86
 Redeemable non-controlling interests at fair value 0 0
  Level 3      
 Financial assets measured at fair value:    
 Available for sale – Player deposits – Investments 0 0
 Equity securities – Investments 6 7
 Derivative financial assets 0 0
 Total 6 7
 Financial liabilities measured at fair value:    
 Derivative financial liabilities 0 0
 Fox Option liability 220 560
 Total 220 560
 Redeemable non-controlling interests at fair value $ 269 $ 309