Annual report pursuant to Section 13 and 15(d)

CONDENSED CONSOLIDATING FINANCIAL INFORMATION-HUNTSMAN INTERNATIONAL

v2.4.0.6
CONDENSED CONSOLIDATING FINANCIAL INFORMATION-HUNTSMAN INTERNATIONAL (HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES)
12 Months Ended
Dec. 31, 2012
HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
 
CONDENSED CONSOLIDATING FINANCIAL INFORMATION-HUNTSMAN INTERNATIONAL  
CONDENSED CONSOLIDATING FINANCIAL INFORMATION-HUNTSMAN INTERNATIONAL

28. CONDENSED CONSOLIDATING FINANCIAL INFORMATION—HUNTSMAN INTERNATIONAL

        The following condensed consolidating financial statements present, in separate columns, financial information for the following: Huntsman International (on a parent only basis), with its investment in subsidiaries recorded under the equity method; the Guarantors on a combined, and where appropriate, consolidated basis; and the nongurantors on a combined, and where appropriate, consolidated basis. Additional columns present eliminating adjustments and consolidated totals as of December 31, 2012 and 2011 and for the years ended December 31, 2012, 2011 and 2010. There are no contractual restrictions limiting transfers of cash from Guarantor subsidiaries to Huntsman International. Each of the Guarantors is 100% owned by Huntsman International and has fully and unconditionally guaranteed Huntsman International's outstanding notes on a joint and several basis.


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING BALANCE SHEETS
AS OF DECEMBER 31, 2012
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

ASSETS

                               

Current assets:

                               

Cash and cash equivalents

  $ 7   $ 2   $ 201   $   $ 210  

Restricted cash

            9         9  

Accounts and notes receivable, net

    16     182     1,336         1,534  

Accounts receivable from affiliates

    1,733     3,907     101     (5,442 )   299  

Inventories

    111     309     1,404     (5 )   1,819  

Prepaid expenses

    10     7     43     (12 )   48  

Deferred income taxes

    7         57     (13 )   51  

Other current assets

    203     5     225     (211 )   222  
                       

Total current assets

    2,087     4,412     3,376     (5,683 )   4,192  

Property, plant and equipment, net

    371     898     2,386     1     3,656  

Investment in unconsolidated affiliates

    5,413     1,360     159     (6,694 )   238  

Intangible assets, net

    27     2     42     (1 )   70  

Goodwill

    (18 )   82     53         117  

Deferred income taxes

    248         224     (243 )   229  

Notes receivable from affiliates

    21     941     2     (962 )   2  

Other noncurrent assets

    72     139     156     (1 )   366  
                       

Total assets

  $ 8,221   $ 7,834   $ 6,398   $ (13,583 ) $ 8,870  
                       

LIABILITIES AND EQUITY

                               

Current liabilities:

                               

Accounts payable

  $ 87   $ 280   $ 734   $   $ 1,101  

Accounts payable to affiliates

    2,987     1,111     1,406     (5,442 )   62  

Accrued liabilities

    87     342     518     (224 )   723  

Deferred income taxes

        45     9     (15 )   39  

Note payable to affiliate

    100                 100  

Current portion of debt

    15         273         288  
                       

Total current liabilities

    3,276     1,778     2,940     (5,681 )   2,313  

Long-term debt

    3,026         388         3,414  

Notes payable to affiliates

    595         965     (961 )   599  

Deferred income taxes

    14     169     49     (62 )   170  

Other noncurrent liabilities

    216     190     751         1,157  
                       

Total liabilities

    7,127     2,137     5,093     (6,704 )   7,653  

Equity

                               

Huntsman International LLC members' equity

                               

Members' equity

    3,109     4,689     2,262     (6,951 )   3,109  

Accumulated deficit

    (1,224 )   (243 )   (354 )   597     (1,224 )

Accumulated other comprehensive (loss) income

    (791 )   1,251     (692 )   (559 )   (791 )
                       

Total Huntsman International LLC members' equity

    1,094     5,697     1,216     (6,913 )   1,094  

Noncontrolling interests in subsidiaries

            89     34     123  
                       

Total equity

    1,094     5,697     1,305     (6,879 )   1,217  
                       

Total liabilities and equity

  $ 8,221   $ 7,834   $ 6,398   $ (13,583 ) $ 8,870  
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING BALANCE SHEETS
AS OF DECEMBER 31, 2011
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

ASSETS

                               

Current assets:

                               

Cash and cash equivalents

  $ 4   $   $ 227   $   $ 231  

Restricted cash

            8         8  

Accounts and notes receivable, net

    13     151     1,365         1,529  

Accounts receivable from affiliates

    1,105     3,041     93     (4,091 )   148  

Inventories

    105     271     1,167     (4 )   1,539  

Prepaid expenses

    9     7     43     (13 )   46  

Deferred income taxes

    6         49     (15 )   40  

Other current assets

    90     9     222     (101 )   220  
                       

Total current assets

    1,332     3,479     3,174     (4,224 )   3,761  

Property, plant and equipment, net

    393     868     2,247     2     3,510  

Investment in unconsolidated affiliates

    5,286     1,460     147     (6,691 )   202  

Intangible assets, net

    42     2     52     (3 )   93  

Goodwill

    (16 )   82     48         114  

Deferred income taxes

    154         191     (182 )   163  

Notes receivable from affiliates

    20     920     5     (940 )   5  

Other noncurrent assets

    81     137     264         482  
                       

Total assets

  $ 7,292   $ 6,948   $ 6,128   $ (12,038 ) $ 8,330  
                       

LIABILITIES AND EQUITY

                               

Current liabilities:

                               

Accounts payable

  $ 53   $ 205   $ 604   $   $ 862  

Accounts payable to affiliates

    2,244     822     1,089     (4,091 )   64  

Accrued liabilities

    117     204     487     (114 )   694  

Deferred income taxes

        39     7     (17 )   29  

Note payable to affiliate

    100                 100  

Current portion of debt

    33         179         212  
                       

Total current liabilities

    2,547     1,270     2,366     (4,222 )   1,961  

Long-term debt

    3,128         602         3,730  

Notes payable to affiliates

    435         944     (940 )   439  

Deferred income taxes

    9     79     98     (80 )   106  

Other noncurrent liabilities

    196     163     644         1,003  
                       

Total liabilities

    6,315     1,512     4,654     (5,242 )   7,239  

Equity

                               

Huntsman International LLC members'

                               

equity:

                               

Members' equity

    3,081     4,754     2,343     (7,097 )   3,081  

Accumulated deficit

    (1,493 )   (820 )   (396 )   1,216     (1,493 )

Accumulated other comprehensive (loss) income

    (611 )   1,502     (546 )   (956 )   (611 )
                       

Total Huntsman International LLC members' equity

    977     5,436     1,401     (6,837 )   977  

Noncontrolling interests in subsidiaries

            73     41     114  
                       

Total equity

    977     5,436     1,474     (6,796 )   1,091  
                       

Total liabilities and equity

  $ 7,292   $ 6,948   $ 6,128   $ (12,038 ) $ 8,330  
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF OPERATIONS
YEAR ENDED DECEMBER 31, 2012
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Revenues:

                               

Trade sales, services and fees, net

  $ 932   $ 3,443   $ 6,589   $   $ 10,964  

Related party sales

    745     447     1,161     (2,130 )   223  
                       

Total revenues

    1,677     3,890     7,750     (2,130 )   11,187  

Cost of goods sold

    1,424     3,003     6,849     (2,130 )   9,146  
                       

Gross profit

    253     887     901         2,041  

Selling, general and administrative

    191     120     623         934  

Research and development

    47     36     69         152  

Other operating (income) expense

    (5 )   2     (3 )       (6 )

Restructuring, impairment and plant closing costs

    4     7     81         92  
                       

Operating income

    16     722     131         869  

Interest (expense) income, net

    (207 )   42     (73 )       (238 )

Equity in income of investment in affiliates and subsidiaries

    503     40     9     (545 )   7  

Loss on early extinguishment of debt

    (80 )               (80 )

Other (expense) income

    (12 )   14     (1 )       1  
                       

Income from continuing operations before income taxes

    220     818     66     (545 )   559  

Income tax benefit (expense)

    141     (243 )   1     (78 )   (179 )
                       

Income from continuing operations

    361     575     67     (623 )   380  

Income (loss) from discontinued operations, net of tax

    4     1     (12 )       (7 )
                       

Income before extraordinary gain

    365     576     55     (623 )   373  

Extraordinary gain on the acquisition of a

                               

business, net of tax of nil

            2         2  
                       

Net income

    365     576     57     (623 )   375  

Net income attributable to noncontrolling interests

            (16 )   6     (10 )
                       

Net income attributable to Huntsman International LLC

  $ 365   $ 576   $ 41   $ (617 ) $ 365  
                       

Net income

  $ 365   $ 576   $ 57   $ (623 ) $ 375  

Other comprehensive loss

    (180 )   (250 )   (148 )   397     (181 )

Comprehensive income attributable to

                               

noncontrolling interests

            (16 )   7     (9 )
                       

Comprehensive income (loss) attributable to Huntsman International LLC

  $ 185   $ 326   $ (107 ) $ (219 ) $ 185  
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF OPERATIONS
YEAR ENDED DECEMBER 31, 2011
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Revenues:

                               

Trade sales, services and fees, net

  $ 885   $ 3,349   $ 6,807   $   $ 11,041  

Related party sales

    453     493     1,098     (1,864 )   180  
                       

Total revenues

    1,338     3,842     7,905     (1,864 )   11,221  

Cost of goods sold

    1,178     3,160     6,855     (1,830 )   9,363  
                       

Gross profit

    160     682     1,050     (34 )   1,858  

Selling, general and administrative

    182     97     637         916  

Research and development

    50     34     82         166  

Other operating expense (income)

    35     (18 )   (37 )       (20 )

Restructuring, impairment and plant closing costs

    1         166         167  
                       

Operating (loss) income

    (108 )   569     202     (34 )   629  

Interest (expense) income, net

    (216 )   43     (89 )       (262 )

Equity in income of investment in affiliates and subsidiaries

    381     77     9     (459 )   8  

Loss on early extinguishment of debt

    (7 )               (7 )

Other (expense) income

    (35 )       1     36     2  
                       

Income from continuing operations before income taxes

    15     689     123     (457 )   370  

Income tax benefit (expense)

    232     (210 )   (35 )   (100 )   (113 )
                       

Income from continuing operations

    247     479     88     (557 )   257  

Income (loss) from discontinued operations, net of tax

    6     (1 )   (6 )       (1 )
                       

Income before extraordinary gain

    253     478     82     (557 )   256  

Extraordinary gain on the acquisition of a business, net of tax of nil

            4         4  
                       

Net income

    253     478     86     (557 )   260  

Net income attributable to noncontrolling interests

        (2 )   (6 )   1     (7 )
                       

Net income attributable to Huntsman International LLC

  $ 253   $ 476   $ 80   $ (556 ) $ 253  
                       

Net income

  $ 253   $ 478   $ 86   $ (557 ) $ 260  

Other comprehensive loss

    (257 )   (98 )   (232 )   325     (262 )

Comprehensive income attributable to noncontrolling interests

        (3 )   (1 )   2     (2 )
                       

Comprehensive (loss) income attributable to Huntsman International LLC

  $ (4 )   377   $ (147 ) $ (230 ) $ (4 )
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF OPERATIONS
YEAR ENDED DECEMBER 31, 2010
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Revenues:

                               

Trade sales, services and fees, net

  $ 790   $ 2,514   $ 5,745   $   $ 9,049  

Related party sales

    262     513     958     (1,532 )   201  
                       

Total revenues

    1,052     3,027     6,703     (1,532 )   9,250  

Cost of goods sold

    869     2,594     5,815     (1,506 )   7,772  
                       

Gross profit

    183     433     888     (26 )   1,478  

Operating expenses:

                               

Selling, general and administrative

    185     88     582         855  

Research and development

    52     30     69         151  

Other operating (income) expense

    (34 )   11     23          

Restructuring, impairment and plant closing costs

    1     3     25         29  
                       

Operating income

    (21 )   301     189     (26 )   443  

Interest (expense) income, net

    (215 )   38     (71 )       (248 )

Equity in (loss) income of investment in affiliates and subsidiaries

    (1,199 )   91     24     1,108     24  

Loss on early extinguishment of debt

    (37 )               (37 )

Dividends income

    1,569             (1,569 )    

Other (expense) income

    (25 )       2     25     2  
                       

Income from continuing operations before income taxes

    72     430     144     (462 )   184  

Income tax benefit (expense)

    101     (127 )   (14 )       (40 )
                       

Income from continuing operations

    173     303     130     (462 )   144  

Income (loss) from discontinued operations, net of tax

    7     68     (33 )       42  
                       

Income before extraordinary loss

    180     371     97     (462 )   186  

Extraordinary loss on the acquisition of a business, net of tax of nil

            (1 )       (1 )
                       

Net income

    180     371     96     (462 )   185  

Net income attributable to noncontrolling interests

        (2 )   (4 )   1     (5 )
                       

Net income attributable to Huntsman International LLC

  $ 180   $ 369   $ 92   $ (461 ) $ 180  
                       

Net income

  $ 180   $ 371   $ 96   $ (462 ) $ 185  

Other comprehensive (loss) income

    (7 )   1,539         (1,539 )   (7 )

Comprehensive income attributable to noncontrolling interests

        (1 )   (5 )   2     (4 )
                       

Comprehensive income attributable to Huntsman International LLC

  $ 173     1,909   $ 91   $ (1,999 ) $ 174  
                       

HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF CASH FLOWS
YEAR ENDED DECEMBER 31, 2012
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Net cash provided by operating activities

  $ 85     269   $ 508   $ (2 ) $ 860  
                       

Investing activities:

                               

Capital expenditures

    (23 )   (111 )   (278 )       (412 )

Acquisition of businesses, net of cash acquired and post-closing adjustments

            (18 )       (18 )

Proceeds from sale of businesses/assets

            6         6  

Increase in receivable from affiliate

    (108 )               (108 )

Investment in affiliate

    225     (62 )   48     (211 )    

Investment in unconsolidated affiliates

    (3 )   (100 )   (24 )       (127 )

Cash received from unconsolidated affiliates

        80     2         82  

Other, net

        1     (1 )   (1 )   (1 )
                       

Net cash provided by (used in) investing activities

    91     (192 )   (265 )   (212 )   (578 )
                       

Financing activities:

                               

Net repayments under revolving loan facilities

            (15 )       (15 )

Net borrowings on overdraft facilities

            2         2  

Repayments of short-term debt

            (53 )       (53 )

Repayments of long-term debt

    (625 )       (69 )       (694 )

Proceeds from issuance of long-term debt

    400         5         405  

Repayments of notes payable to affiliate

    (139 )               (139 )

Proceeds from notes payable to affiliate

    299                 299  

Repayments of notes payable

    (33 )       (4 )       (37 )

Borrowings on notes payable

    33         1         34  

Debt issuance costs paid

    (11 )               (11 )

Call premiums related to early extinguishment of debt

    (2 )               (2 )

Contribution from parent

        14         (14 )    

Distribution to parent

        (87 )   (138 )   225      

Dividends paid to parent

    (96 )   (2 )   (1 )   3     (96 )

Excess tax benefit related to stock-based compensation

    4                 4  

Other, net

    (3 )               (3 )
                       

Net cash used in financing activities

    (173 )   (75 )   (272 )   214     (306 )

Effect of exchange rate changes on cash

            3         3  
                       

Increase (decrease) in cash and cash equivalents

    3     2     (26 )       (21 )

Cash and cash equivalents at beginning of period

    4         227         231  
                       

Cash and cash equivalents at end of period

  $ 7     2   $ 201   $   $ 210  
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF CASH FLOWS
YEAR ENDED DECEMBER 31, 2011
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Net cash provided by operating activities

  $ 304   $ 99   $ 34   $ (5 ) $ 432  
                       

Investing activities:

                               

Capital expenditures

    (21 )   (70 )   (239 )       (330 )

Proceeds from settlements treated as reimbursement of capital expenditures

            3         3  

Acquisition of businesses, net of cash acquired and post-closing adjustments

            (34 )       (34 )

Cash assumed in connection with the initial consolidation of a variable interest entity

            28         28  

Proceeds from sale of businesses/assets

        8     40         48  

Increase in receivable from affiliate

    (57 )               (57 )

Investment in affiliates

    (56 )   (16 )       72      

Investment in unconsolidated affiliate

        (26 )           (26 )

Cash received from unconsolidated affiliates

        30     2         32  

Other, net

            (4 )   3     (1 )
                       

Net cash used in investing activities

    (134 )   (74 )   (204 )   75     (337 )
                       

Financing activities:

                               

Net repayments under revolving loan facilities

            (2 )       (2 )

Net borrowings on overdraft facilities

            9         9  

Repayments of short-term debt

            (187 )       (187 )

Borrowings on short-term debt

            162         162  

Repayments of long-term debt

    (305 )       (103 )       (408 )

Proceeds from issuance of long-term debt

            98         98  

Repayments of notes payable to affiliate

    (105 )               (105 )

Proceeds from notes payable to affiliate

    105                 105  

Repayments of notes payable

    (32 )       (2 )       (34 )

Borrowings on notes payable

    33         2         35  

Debt issuance costs paid

    (7 )               (7 )

Call premiums related to early extinguishment of debt

    (6 )               (6 )

Contribution from parent

        (32 )   104     (72 )    

Dividends paid to parent

    (79 )   (2 )       2     (79 )

Dividends paid to noncontrolling interests

            (9 )       (9 )

Excess tax benefit related to stock-based compensation

    10                 10  

Other, net

                     
                       

Net cash (used in) provided by financing activities

    (386 )   (34 )   72     (70 )   (418 )
                       

Effect of exchange rate changes on cash

            (7 )       (7 )
                       

Decrease in cash and cash equivalents

    (216 )   (9 )   (105 )       (330 )

Cash and cash equivalents at beginning of period

    220     9     332         561  
                       

Cash and cash equivalents at end of period

  $ 4   $   $ 227   $   $ 231  
                       


HUNTSMAN INTERNATIONAL LLC AND SUBSIDIARIES
CONDENSED CONSOLIDATING STATEMENTS OF CASH FLOWS
YEAR ENDED DECEMBER 31, 2010
(Dollars in Millions)

 
  Parent
Company
  Guarantors   Nonguarantors   Eliminations   Consolidated
Huntsman
International
LLC
 

Net cash (used in) provided by operating activities

  $ (241 ) $ 15   $ 182   $ (2 ) $ (46 )
                       

Investing activities:

                               

Capital expenditures

    (26 )   (51 )   (159 )       (236 )

Proceeds from settlements treated as reimbursement of capital expenditures

        34             34  

Cash assumed in connection with the initial consolidation of a variable interest entity

            14         14  

Proceeds from sale of businesses/assets

            2         2  

Increase in receivable from affiliate

    (57 )               (57 )

Investment in affiliate

    (65 )   (13 )       78      

Investment in unconsolidated affiliates

        (24 )   (3 )       (27 )

Cash received from unconsolidated affiliates

        26     5         31  

Other, net

            1         1  
                       

Net cash used in investing activities

    (148 )   (28 )   (140 )   78     (238 )
                       

Financing activities:

                               

Net repayments under revolving loan facilities

            (6 )       (6 )

Revolving loan facility from A/R Programs

    254                 254  

Net borrowings on overdraft facilities

            (2 )       (2 )

Repayments of short-term debt

            (175 )       (175 )

Borrowings on short-term debt

            212         212  

Repayments of long-term debt

    (1,154 )       (53 )       (1,207 )

Proceeds from issuance of long-term debt

    894         29         923  

Repayments of note payable to affiliate

    (125 )               (125 )

Proceeds from notes payable to affiliate

    110                 110  

Intercompany repayments

            (5 )   5      

Repayments of notes payable

    (38 )       (15 )       (53 )

Borrowings on notes payable

    33         13         46  

Debt issuance costs paid

    (29 )               (29 )

Call premiums paid related to early extinguishment of debt

    (28 )               (28 )

Contribution from parent

            83     (83 )    

Dividends paid to parent

        (2 )       2      

Excess tax benefit related to stock-based compensation

    4                 4  

Other, net

            (2 )       (2 )
                       

Net cash (used in) provided by financing activities

    (79 )   (2 )   79     (76 )   (78 )
                       

Effect of exchange rate changes on cash

            4         4  
                       

(Decrease) increase in cash and cash equivalents

    (468 )   (15 )   125         (358 )

Cash and cash equivalents at beginning of period

    688     24     207         919  
                       

Cash and cash equivalents at end of period

  $ 220   $ 9   $ 332   $   $ 561