Quarterly report pursuant to Section 13 or 15(d)

DEBT (Details)

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DEBT (Details)
€ in Millions, ¥ in Millions, $ in Millions
6 Months Ended
Jun. 30, 2015
EUR (€)
Jul. 24, 2015
CNY (¥)
Jul. 24, 2015
USD ($)
Jun. 30, 2015
USD ($)
Mar. 31, 2015
EUR (€)
Mar. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
Debt              
Total debt - excluding debt to affiliates       $ 5,047     $ 5,200
Total current portion of debt [1]       127     267
Long-term portion [1]       4,920     4,933
Notes payable to affiliates-noncurrent       7     6
Total debt       5,054     5,206
Consolidated VIE's              
Debt              
Total debt - excluding debt to affiliates       165     207
Total current portion of debt       18     172
Long-term portion       147     36
Sasol Huntsman GmbH and Co. KG              
A/R Programs              
Variable interest entity ownership percentage 50.00%            
Arabian Amines Company              
Debt              
Total debt - excluding debt to affiliates       156      
Total current portion of debt       16      
Long-term portion       140      
A/R Programs              
Variable interest entity ownership percentage 50.00%            
Huntsman International              
Debt              
Total debt - excluding debt to affiliates       5,047     5,200
Total current portion of debt [1]       127     267
Long-term portion [1]       4,920     4,933
Notes payable to affiliates-current       100     100
Notes payable to affiliates-noncurrent       802     656
Total debt       5,949     5,956
Huntsman International | Consolidated VIE's              
Debt              
Total debt - excluding debt to affiliates       165     207
Total current portion of debt       18     172
Long-term portion       147     36
Term loans              
Debt              
Total debt - excluding debt to affiliates       2,509     2,528
Term loans | Huntsman International              
Debt              
Total debt - excluding debt to affiliates       $ 2,509     2,528
Term loans | Huntsman Polyurethane Shanghai              
Debt              
Committed amount   ¥ 669 $ 110        
Senior Credit Facilities | Huntsman International              
Debt              
Weighted average interest rate at period end (as a percent) 3.00%     3.00%      
Other debt instruments              
Debt              
Total debt - excluding debt to affiliates       $ 74     109
Other debt instruments | Huntsman International              
Debt              
Total debt - excluding debt to affiliates       74     109
Revolving Facility | Huntsman International              
Debt              
Committed amount       625      
Amount Outstanding       0      
Amount of letter of credit and bank guarantees issued and outstanding       16      
Revolving Facility | Huntsman International | LIBOR              
Debt              
Reference rate (as a percent) 2.50%            
Revolving Facility | Huntsman International | Maximum              
A/R Programs              
Debt instrument covenant consolidated leverage ratio 3.75            
Revolving Facility | Huntsman Polyurethane Shanghai              
Debt              
Committed amount   ¥ 423 $ 69        
Extended Term Loan B | Huntsman International              
Debt              
Principal Outstanding       943      
Amount Outstanding       942      
Extended Term Loan B | Huntsman International | LIBOR              
Debt              
Reference rate (as a percent) 2.50%            
Extended Term Loans B Series 2 | Huntsman International              
Debt              
Principal Outstanding       335      
Amount Outstanding       335      
Extended Term Loans B Series 2 | Huntsman International | LIBOR              
Debt              
Reference rate (as a percent) 3.00%            
Term Loan C | Huntsman International              
Debt              
Principal Outstanding       50      
Amount Outstanding       49      
Term Loan C | Huntsman International | LIBOR              
Debt              
Reference rate (as a percent) 2.25%            
Intercompany Note              
A/R Programs              
Outstanding loan due from Huntsman International       895      
Due from Huntsman International, current       100      
Intercompany Note | Minimum | U.S. A/R Program              
Debt              
Reference rate reduction (as a percent) 0.10%            
Intercompany Note | Maximum | LIBOR              
Debt              
Reference rate reduction (as a percent) 0.25%            
Intercompany Note | Huntsman International              
A/R Programs              
Outstanding loan due to Huntsman Corporation       895      
Due to Huntsman Corporation, current       100      
Intercompany Note | Huntsman International | Minimum | U.S. A/R Program              
Debt              
Reference rate reduction (as a percent) 0.10%            
Intercompany Note | Huntsman International | Maximum | LIBOR              
Debt              
Reference rate reduction (as a percent) 0.25%            
Accounts receivable programs              
Debt              
Total debt - excluding debt to affiliates       217     229
Accounts receivable programs | Huntsman International              
Debt              
Total debt - excluding debt to affiliates       217     229
A/R Programs              
Accounts receivable pledged as collateral       519     472
U.S. A/R Program Maturing March 2018 | Huntsman International              
Debt              
Amount Outstanding       90      
Amount of letter of credit and bank guarantees issued and outstanding       7      
A/R Programs              
Maximum Funding Availability       250      
U.S. A/R Program Maturing March 2018 | Huntsman International | USD LIBOR or CP              
Debt              
Reference rate (as a percent) 0.95%            
EU A/R Program Maturing March 2018 | Huntsman International              
Debt              
Amount Outstanding € 114     127      
A/R Programs              
Maximum Funding Availability € 225     252      
EU A/R Program Maturing March 2018 | Huntsman International | GDP LIBOR, USD LIBOR, or EURIBOR              
Debt              
Reference rate (as a percent) 1.10%            
Senior notes              
Debt              
Total debt - excluding debt to affiliates       1,884     1,596
Senior notes | Huntsman International              
Debt              
Total debt - excluding debt to affiliates       1,884     1,596
Senior notes | Huntsman International | Occurrence of certain change of control events              
Debt              
Percentage of principal amount at which the entity may redeem some or all of the notes 101.00%            
Senior subordinated notes              
Debt              
Total debt - excluding debt to affiliates       198     531
Senior subordinated notes | Huntsman International              
Debt              
Total debt - excluding debt to affiliates       198     $ 531
2020 Senior Notes | Huntsman International              
Debt              
Total debt       650      
Amount Outstanding       $ 647      
Interest rate (as a percent) 4.875%     4.875%      
2021 Senior Notes | Huntsman International              
Debt              
Total debt | € € 445            
Amount Outstanding € 449     $ 502      
Interest rate (as a percent) 5.125%     5.125%      
2022 Senior Notes | Huntsman International              
Debt              
Total debt       $ 400      
Interest rate (as a percent) 5.125%     5.125%      
2025 Senior Notes | Huntsman International              
Debt              
Amount Outstanding € 300     $ 335      
Interest rate (as a percent) 4.25%     4.25%      
Principal amount of notes issued         € 300 $ 326  
2025 Senior Notes | Huntsman International | Prior to January 1, 2025              
Debt              
Percentage of principal amount at which the entity may redeem some or all of the notes 100.00%            
Senior Subordinated Notes, March 2021 | Huntsman International              
Debt              
Total debt       $ 195      
Amount Outstanding       $ 198      
Interest rate (as a percent) 8.625%     8.625%      
Senior Subordinated Notes, March 2021 | Huntsman International | Redemption on September 15, 2015              
Debt              
Percentage of principal amount at which the entity may redeem some or all of the notes 104.3125%            
2014 Term Loan | Huntsman International              
Debt              
Principal Outstanding       $ 1,194      
Amount Outstanding       $ 1,183      
2014 Term Loan | Huntsman International | LIBOR              
Debt              
Reference rate (as a percent) 3.00%            
2014 Term Loan | Huntsman International | LIBOR Floor              
Debt              
Reference rate (as a percent) 0.75%            
[1] At June 30, 2015 and December 31, 2014, respectively, $28 and $46 of cash and cash equivalents, $9 and $10 of restricted cash, $42 and $41 of accounts and notes receivable (net), $51 and $68 of inventories, $5 and $6 of other current assets, $326 and $339 of property, plant and equipment (net), $38 and $40 of intangible assets (net), $28 and $27 of other noncurrent assets, $77 and $92 of accounts payable, $33 and $37 of accrued liabilities, $18 and $172 of current portion of debt, $147 and $36 of longterm debt, and $97 each of other noncurrent liabilities from consolidated variable interest entities are included in the respective Balance Sheet captions above. See “Note 5. Variable Interest Entities.”