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Restructuring Charges - Activity Related to Restructuring Programs (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Apr. 28, 2023
Apr. 26, 2024
Apr. 28, 2023
Apr. 29, 2022
Changes in Restructuring Reserves        
Beginning balance   $ 230 $ 110  
Charges   396 564  
Cash payments   (453) (433)  
Accrual adjustments   (8) (12)  
Settled non-cash   16    
Ending balance $ 230 147 230 $ 110
Restructuring charges 300 389 647 335
Employee Termination Benefits        
Changes in Restructuring Reserves        
Beginning balance   204 81  
Charges   233 285  
Cash payments   (292) (150)  
Accrual adjustments   (8) (11)  
Settled non-cash   0    
Ending balance 204 136 204 81
Associated and Other Costs        
Changes in Restructuring Reserves        
Beginning balance   25 28  
Charges   163 279  
Cash payments   (161) (281)  
Accrual adjustments   0 (1)  
Settled non-cash   16    
Ending balance $ 25 $ 11 25 $ 28
Incremental defined benefit, defined contribution and post-retirement        
Changes in Restructuring Reserves        
Restructuring charges     $ 94