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Borrowings (Tables)
9 Months Ended
Aug. 01, 2021
Debt Disclosure [Abstract]  
Schedule of Debt
Effective Interest RateAugust 1,
2021
November 1,
2020
(In millions, except percentages)
March 2021 Senior Notes - fixed rate
3.419% notes due April 2033
4.66 %$2,250 $— 
3.469% notes due April 2034
4.63 %3,250 — 
5,500 — 
January 2021 Senior Notes - fixed rate
1.950% notes due February 2028
2.10 %750 — 
2.450% notes due February 2031
2.56 %2,750 — 
2.600% notes due February 2033
2.70 %1,750 — 
3.500% notes due February 2041
3.60 %3,000 — 
3.750% notes due February 2051
3.84 %1,750 — 
10,000 — 
June 2020 Senior Notes - fixed rate
3.459% notes due September 2026
4.19 %1,695 1,695 
4.110% notes due September 2028
5.02 %2,222 2,222 
3,917 3,917 
May 2020 Senior Notes - fixed rate
2.250% notes due November 2023
2.40 %105 1,000 
3.150% notes due November 2025
3.29 %1,418 2,250 
4.150% notes due November 2030
4.27 %2,750 2,750 
4.300% notes due November 2032
4.39 %2,000 2,000 
6,273 8,000 
April 2020 Senior Notes - fixed rate
4.700% notes due April 2025
4.88 %1,247 2,250 
5.000% notes due April 2030
5.18 %2,250 2,250 
3,497 4,500 
November 2019 Term Loans - floating rate
LIBOR plus 1.125% term loan due November 2022
1.54 %— 1,819 
LIBOR plus 1.250% term loan due November 2024
1.56 %— 4,069 
— 5,888 
April 2019 Senior Notes - fixed rate
3.125% notes due April 2021
3.61 %— 525 
3.125% notes due October 2022
3.53 %— 693 
3.625% notes due October 2024
3.98 %622 1,044 
4.250% notes due April 2026
4.54 %1,183 2,500 
4.750% notes due April 2029
4.95 %3,000 3,000 
4,805 7,762 
2017 Senior Notes - fixed rate
2.200% notes due January 2021
2.41 %— 282 
3.000% notes due January 2022
3.21 %255 842 
2.650% notes due January 2023
2.78 %260 1,000 
3.625% notes due January 2024
3.74 %829 1,352 
Effective Interest RateAugust 1,
2021
November 1,
2020
(In millions, except percentages)
3.125% notes due January 2025
3.23 %585 1,000 
3.875% notes due January 2027
4.02 %3,813 4,800 
3.500% notes due January 2028
3.60 %1,250 1,250 
6,992 10,526 
Assumed CA Senior Notes - fixed rate
3.600% notes due August 2022
4.07 %— 283 
4.500% notes due August 2023
4.10 %143 250 
4.700% notes due March 2027
5.15 %350 350 
493 883 
Other borrowings
2.500% - 4.500% senior notes due August 2022 - August 2034
2.59% - 4.55%
22 22 
Total principal amount outstanding41,499 41,498 
Less: Unamortized discount and issuance costs(1,100)(504)
Total debt$40,399 $40,994 
Schedule of future principal payments of debt The future scheduled principal payments of debt as of August 1, 2021 were as follows:
Fiscal Year:Future Scheduled Principal Payments
(In millions)
2021 (remainder)$— 
2022264 
2023403 
20241,563 
20251,832 
Thereafter37,437 
Total$41,499