| Schedule Of Changes In Member's Deficit and Other Comprehensive Loss |
| (In thousands) | The Company | | Noncontrolling
Interests | | Consolidated | | Balances at January 1, 2014 | $ | (8,942,166) | | $ | 245,531 | | $ | (8,696,635) | | | Net loss | | (424,190) | | | (8,200) | | | (432,390) | | | Foreign currency translation adjustments | | 875 | | | (3,092) | | | (2,217) | | | Unrealized holding gain on marketable securities | | 955 | | | 129 | | | 1,084 | | | Other adjustments to comprehensive loss | | 3,309 | | | - | | | 3,309 | | | Other, net | | 430 | | | (1,533) | | | (1,103) | | Balances at March 31, 2014 | $ | (9,360,787) | | $ | 232,835 | | $ | (9,127,952) | | | | | | | | | | | | | Balances at January 1, 2013 | $ | (8,299,188) | | $ | 303,997 | | $ | (7,995,191) | | | Net loss | | (203,003) | | | (6,116) | | | (209,119) | | | Foreign currency translation adjustments | | (20,306) | | | (3,107) | | | (23,413) | | | Unrealized holding gain on marketable securities | | 4,438 | | | (3) | | | 4,435 | | | Unrealized holding gain on cash flow derivatives | | 14,823 | | | - | | | 14,823 | | | Other adjustments to comprehensive loss | | (885) | | | (113) | | | (998) | | | Other, net | | 1,291 | | | (1,531) | | | (240) | | Balances at March 31, 2013 | $ | (8,502,830) | | $ | 293,127 | | $ | (8,209,703) |
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