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TOTAL SHORT-TERM BORROWINGS (Details) - USD ($)
$ in Millions
Nov. 01, 2020
Nov. 04, 2019
Nov. 03, 2019
Short-term borrowings      
Short-term borrowings $ 8,582 $ 10,795 $ 10,784
Short-term securitization borrowings 4,682   4,321
Total short-term borrowings $ 13,264   $ 15,105
Weighted-average interest rates on total short-term borrowings, excluding current maturities of long-term borrowings (as a percent) 1.60%   2.90%
Equipment Operations      
Short-term borrowings      
Short-term borrowings $ 292   $ 987
Short-term securitization borrowings 26   44
Equipment Operations | Notes Payable to Banks      
Short-term borrowings      
Short-term borrowings 192   345
Equipment Operations | Finance Lease Obligations Due Within One Year      
Short-term borrowings      
Short-term borrowings 21    
Equipment Operations | Long-term Borrowings Due Within One Year      
Short-term borrowings      
Short-term borrowings 79   642
Financial Services      
Short-term borrowings      
Short-term borrowings 8,290   9,797
Short-term securitization borrowings 4,656   4,277
Financial Services | Commercial Paper      
Short-term borrowings      
Short-term borrowings 1,238   2,698
Financial Services | Notes Payable to Banks      
Short-term borrowings      
Short-term borrowings 182   313
Financial Services | Long-term Borrowings Due Within One Year      
Short-term borrowings      
Short-term borrowings 6,870   $ 6,786
Financial Services | Short-term securitization borrowings      
Short-term borrowings      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2021 2,367    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2022 1,366    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2023 681    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2024 217    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2025 50    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2026 $ 6