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Cash and Available-for-Sale Securities' Adjusted Cost, Gross Unrealized Gains, Gross Unrealized Losses and Fair Value Recorded as Cash and Cash Equivalents or Short-Term or Long-Term Marketable Securities (Detail) - USD ($)
$ in Millions
Mar. 26, 2016
Sep. 26, 2015
Mar. 28, 2015
Sep. 27, 2014
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost $ 233,449 $ 206,420    
Unrealized Gains 945 574    
Unrealized Losses (1,466) (1,328)    
Fair Value 232,928 205,666    
Cash and cash equivalents 21,514 21,120 $ 14,489 $ 13,844
Short-term marketable securities 33,769 20,481    
Long-term marketable securities 177,645 164,065    
Cash        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost 10,199 11,389    
Unrealized Gains 0 0    
Unrealized Losses 0 0    
Fair Value 10,199 11,389    
Cash and cash equivalents 10,199 11,389    
Short-term marketable securities 0 0    
Long-term marketable securities 0 0    
Level 1        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [1] 4,570 3,570    
Unrealized Gains [1] 0 0    
Unrealized Losses [1] (203) (144)    
Fair Value [1] 4,367 3,426    
Cash and cash equivalents [1] 2,798 1,798    
Short-term marketable securities [1] 1,569 1,628    
Long-term marketable securities [1] 0 0    
Level 1 | Money market funds        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [1] 2,798 1,798    
Unrealized Gains [1] 0 0    
Unrealized Losses [1] 0 0    
Fair Value [1] 2,798 1,798    
Cash and cash equivalents [1] 2,798 1,798    
Short-term marketable securities [1] 0 0    
Long-term marketable securities [1] 0 0    
Level 1 | Mutual funds        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [1] 1,772 1,772    
Unrealized Gains [1] 0 0    
Unrealized Losses [1] (203) (144)    
Fair Value [1] 1,569 1,628    
Cash and cash equivalents [1] 0 0    
Short-term marketable securities [1] 1,569 1,628    
Long-term marketable securities [1] 0 0    
Level 2        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 218,680 191,461    
Unrealized Gains [2] 945 574    
Unrealized Losses [2] (1,263) (1,184)    
Fair Value [2] 218,362 190,851    
Cash and cash equivalents [2] 8,517 7,933    
Short-term marketable securities [2] 32,200 18,853    
Long-term marketable securities [2] 177,645 164,065    
Level 2 | U.S. Treasury securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 47,883 34,902    
Unrealized Gains [2] 207 181    
Unrealized Losses [2] (24) (1)    
Fair Value [2] 48,066 35,082    
Cash and cash equivalents [2] 3,753 0    
Short-term marketable securities [2] 10,614 3,498    
Long-term marketable securities [2] 33,699 31,584    
Level 2 | U.S. agency securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 6,641 5,864    
Unrealized Gains [2] 12 14    
Unrealized Losses [2] (2) 0    
Fair Value [2] 6,651 5,878    
Cash and cash equivalents [2] 465 841    
Short-term marketable securities [2] 2,703 767    
Long-term marketable securities [2] 3,483 4,270    
Level 2 | Non-U.S. government securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 6,873 6,356    
Unrealized Gains [2] 91 45    
Unrealized Losses [2] (121) (167)    
Fair Value [2] 6,843 6,234    
Cash and cash equivalents [2] 0 43    
Short-term marketable securities [2] 696 135    
Long-term marketable securities [2] 6,147 6,056    
Level 2 | Certificates of deposit and time deposits        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 4,169 4,347    
Unrealized Gains [2] 0 0    
Unrealized Losses [2] 0 0    
Fair Value [2] 4,169 4,347    
Cash and cash equivalents [2] 1,529 2,065    
Short-term marketable securities [2] 660 1,405    
Long-term marketable securities [2] 1,980 877    
Level 2 | Commercial paper        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 4,500 6,016    
Unrealized Gains [2] 0 0    
Unrealized Losses [2] 0 0    
Fair Value [2] 4,500 6,016    
Cash and cash equivalents [2] 2,681 4,981    
Short-term marketable securities [2] 1,819 1,035    
Long-term marketable securities [2] 0 0    
Level 2 | Corporate securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 129,394 116,908    
Unrealized Gains [2] 543 242    
Unrealized Losses [2] (1,074) (985)    
Fair Value [2] 128,863 116,165    
Cash and cash equivalents [2] 89 3    
Short-term marketable securities [2] 15,553 11,948    
Long-term marketable securities [2] 113,221 104,214    
Level 2 | Municipal securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 952 947    
Unrealized Gains [2] 6 5    
Unrealized Losses [2] 0 0    
Fair Value [2] 958 952    
Cash and cash equivalents [2] 0 0    
Short-term marketable securities [2] 72 48    
Long-term marketable securities [2] 886 904    
Level 2 | Mortgage- and asset-backed securities        
Schedule of Available-for-sale Securities [Line Items]        
Adjusted Cost [2] 18,268 16,121    
Unrealized Gains [2] 86 87    
Unrealized Losses [2] (42) (31)    
Fair Value [2] 18,312 16,177    
Cash and cash equivalents [2] 0 0    
Short-term marketable securities [2] 83 17    
Long-term marketable securities [2] $ 18,229 $ 16,160    
[1] The fair value of Level 1 securities is estimated based on quoted prices in active markets for identical assets or liabilities.
[2] The fair value of Level 2 securities is estimated based on observable inputs other than quoted prices in active markets for identical assets and liabilities, quoted prices for identical or similar assets or liabilities in inactive markets, or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities.