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Supplemental Financial Information (Tables)
9 Months Ended
Jul. 31, 2022
Disclosure Text Block Supplement [Abstract]  
Summary of Inventory
July 31,
2022
October 31,
2021
(In millions)
Finished goods$641 $423 
Work-in-process994 680 
Raw materials203 194 
Total inventory$1,838 $1,297 
Summary of Other Current Assets
July 31,
2022
October 31,
2021
(In millions)
Prepaid expenses$728 $539 
Other 310 516 
Total other current assets $1,038 $1,055 
Summary of Other Current Liabilities
July 31,
2022
October 31,
2021
(In millions)
Contract liabilities$3,297 $2,619 
Tax liabilities471 541 
Other 839 679 
Total other current liabilities$4,607 $3,839 
Summary of Other Long-Term Liabilities
July 31,
2022
October 31,
2021
(In millions)
Unrecognized tax benefits$3,307 $3,407 
Other 1,223 1,453 
Total other long-term liabilities$4,530 $4,860 
Schedule of Cash Flow, Supplemental Disclosures
Fiscal Quarter EndedThree Fiscal Quarters Ended
July 31,
2022
August 1,
2021
July 31,
2022
August 1,
2021
(In millions)
Cash paid for interest$290 $253 $989 $994 
Cash paid for income taxes$231 $167 $657 $607