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Debt - Long-term Debt (Details) - USD ($)
$ in Millions
6 Months Ended
Jan. 17, 2025
Feb. 27, 2025
Jan. 16, 2025
Aug. 29, 2024
Long-term Debt by Current and Noncurrent        
Total Long-term Debt   $ 11,541    
Finance Lease Effective Rate (in ten thousandths)   5.11%   4.91%
Current Finance Lease Obligations   $ 504   $ 325
Long-Term Finance Lease Obligations   2,310   1,729
Total Finance Lease Obligations   2,814   2,054
Long-term Debt and Lease Obligation        
Current debt (including finance lease obligation)   504   431
Long-term debt (including finance lease obligation)   13,851   12,966
Total Net Carrying Amount of Debt (including finance lease obligation)   $ 14,355   $ 13,397
Current finance lease liability, statement of financial position   Current debt (including finance lease obligation)   Current debt (including finance lease obligation)
Noncurrent finance lease liability, statement of financial position   Long-term debt (including finance lease obligation)   Long-term debt (including finance lease obligation)
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]   Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]    
Interest rate swap | Fair value hedges | Designated hedging instruments        
Long-term Debt and Lease Obligation        
Notional or Contractual Amount   $ 900   $ 900
Spread on 2027 Variable Interest Rate   3.33%    
Corporate Bonds | 2027 Notes(1)        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage) [1]   4.185%    
Effective Rate (in ten thousandths) [1]   4.27%    
Current Portion of Long-term Debt [1]   $ 0   0
Noncurrent Long-Term Debt [1]   846   838
Total Long-term Debt [1]   $ 846   838
Corporate Bonds | 2028 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.375%    
Effective Rate (in ten thousandths)   5.52%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   597   597
Total Long-term Debt   $ 597   597
Corporate Bonds | 2029 A Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.327%    
Effective Rate (in ten thousandths)   5.40%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   698   698
Total Long-term Debt   $ 698   698
Corporate Bonds | 2029 B Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   6.75%    
Effective Rate (in ten thousandths)   6.54%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   1,260   1,261
Total Long-term Debt   $ 1,260   1,261
Corporate Bonds | 2030 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   4.663%    
Effective Rate (in ten thousandths)   4.73%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   847   847
Total Long-term Debt   $ 847   847
Corporate Bonds | 2031 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.30%    
Effective Rate (in ten thousandths)   5.41%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   994   994
Total Long-term Debt   $ 994   994
Corporate Bonds | 2032 Green Bonds        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   2.703%    
Effective Rate (in ten thousandths)   2.77%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   996   996
Total Long-term Debt   $ 996   996
Corporate Bonds | 2033 A Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.875%    
Effective Rate (in ten thousandths)   5.96%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   746   745
Total Long-term Debt   $ 746   745
Corporate Bonds | 2033 B Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.875%    
Effective Rate (in ten thousandths)   6.01%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   891   891
Total Long-term Debt   $ 891   891
Corporate Bonds | 2035 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.80% 5.80%  
Effective Rate (in ten thousandths)   5.90%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   992   0
Total Long-term Debt   $ 992   0
Corporate Bonds | 2041 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   3.366%    
Effective Rate (in ten thousandths)   3.41%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   497   497
Total Long-term Debt   $ 497   497
Corporate Bonds | 2051 Notes        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   3.477%    
Effective Rate (in ten thousandths)   3.52%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   496   496
Total Long-term Debt   496   496
Corporate Bonds | 2026 Notes        
Long-term Debt by Current and Noncurrent        
Current Portion of Long-term Debt   0   0
Noncurrent Long-Term Debt   0   499
Total Long-term Debt   $ 0   499
Term Loan | 2029 Term Loan A        
Long-term Debt by Current and Noncurrent        
Stated Rate (exact percentage)   5.445%    
Effective Rate (in ten thousandths)   5.48%    
Current Portion of Long-term Debt   $ 0   0
Noncurrent Long-Term Debt   1,681   0
Total Long-term Debt   1,681   0
Long-term Debt and Lease Obligation        
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration] Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]      
Term Loan | 2026 Term Loan A        
Long-term Debt by Current and Noncurrent        
Current Portion of Long-term Debt   0   49
Noncurrent Long-Term Debt   0   872
Total Long-term Debt   0   921
Term Loan | 2027 Term Loan A        
Long-term Debt by Current and Noncurrent        
Current Portion of Long-term Debt   0   57
Noncurrent Long-Term Debt   0   1,006
Total Long-term Debt   $ 0   $ 1,063
[1] In 2021, we entered into fixed-to-floating interest rate swaps on the 2027 Notes with an aggregate $900 million notional amount equal to the principal amount of the 2027 Notes. The resulting variable interest paid is at a rate equal to SOFR plus approximately 3.33%. The fixed-to-floating interest rate swaps are accounted for as fair value hedges, and as a result, the carrying values of our 2027 Notes reflect adjustments in fair value.