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Financial Instruments - Schedule of Pre-Tax Effect of Derivative Instruments in Cash Flow Hedging Relationships Included in Earnings (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Jul. 31, 2025
Jul. 31, 2024
Jul. 31, 2025
Jul. 31, 2024
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings $ (202) $ 87 $ (11) $ 251
Cash flow hedges:        
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings (202) 87 (11) 251
Cash flow hedges: | Products net revenue        
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings (184) 117 50 355
Cash flow hedges: | Cost of products net revenue        
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings (21) (33) (71) (109)
Cash flow hedges: | Operating expenses        
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings 0 0 1 (4)
Cash flow hedges: | Interest and other, net        
Pre-tax effect of derivative instruments in cash flow hedging relationships        
Gain/(loss) reclassified from Accumulated  other comprehensive (loss) income into earnings $ 3 $ 3 $ 9 $ 9