WALT DISNEY CO/ | 2013 | FY | 3


Total borrowings excluding market value adjustments, have the following scheduled maturities:
 
 
Before 
International
Theme Parks
Consolidation
 
International 
Theme Parks
 
Total
2014
$
1,508

 
$

 
$
1,508

2015
2,014

 

 
2,014

2016
2,013

 
23

 
2,036

2017
1,661

 
24

 
1,685

2018
1,293

 
25

 
1,318

Thereafter
5,407

 
203

 
5,610

 
$
13,896

 
$
275

 
$
14,171


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