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FAIR VALUE MEASUREMENTS - Financial Instruments (Details) - USD ($)
$ in Millions
Jan. 29, 2023
Oct. 30, 2022
Jan. 30, 2022
Fair Values of Financial Instruments      
Short-term securitization borrowings $ 4,864 $ 5,711 $ 3,482
Unrestricted      
Fair Values of Financial Instruments      
Financing receivables - net 36,882 36,634 33,191
Securitized      
Fair Values of Financial Instruments      
Financing receivables - net $ 5,089 $ 5,936 $ 3,516
Location of liability for pledged asset Short-term securitization borrowings Short-term securitization borrowings Short-term securitization borrowings
Level 2      
Fair Values of Financial Instruments      
Short-term securitization borrowings $ 4,785 $ 5,577 $ 3,468
Long-term borrowings due within one year 7,220 7,322 8,322
Long-term borrowings 34,149 31,852 33,843
Level 3 | Unrestricted      
Fair Values of Financial Instruments      
Financing receivables - net 35,894 35,526 33,033
Level 3 | Securitized      
Fair Values of Financial Instruments      
Financing receivables - net $ 4,869 $ 5,698 $ 3,530
Location of liability for pledged asset Short-term securitization borrowings Short-term securitization borrowings Short-term securitization borrowings
Carrying Value      
Fair Values of Financial Instruments      
Short-term securitization borrowings $ 4,864 $ 5,711 $ 3,482
Long-term borrowings due within one year 7,378 7,466 8,313
Long-term borrowings 35,035 33,566 32,806
Carrying Value | Unrestricted      
Fair Values of Financial Instruments      
Financing receivables - net 36,882 36,634 33,191
Carrying Value | Securitized      
Fair Values of Financial Instruments      
Financing receivables - net $ 5,089 $ 5,936 $ 3,516
Location of liability for pledged asset Short-term securitization borrowings Short-term securitization borrowings Short-term securitization borrowings