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Fair Value Measurements (Tables)
9 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Financial Instruments
The following tables show the fair value of the Company’s financial instruments that are required to be measured at fair value as of June 30, 2025 and September 30, 2024.
Fair Value Measurements as of June 30, 2025
(Level 1)(Level 2)(Level 3)Total
(in millions)
Other Current Assets:
Foreign currency forward exchange contracts (a)
$— $$— $
Other current liabilities:
Foreign currency forward exchange contracts (a)
$— $(6)$— $(6)
Other noncurrent assets:
Equity investments with readily determinable fair value (b)
— — 

Fair Value Measurements as of September 30, 2024
(Level 1)(Level 2)(Level 3)Total
(in millions)
Other noncurrent assets:
Equity investment with readily determinable fair value (b)
— — 
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(a)The fair value of foreign currency forward exchange contracts is based on dealer quotes of market forward rates and reflects the amount that the Company would receive or pay at their maturity dates for contracts involving the same currencies and maturity dates.
(b)These represent equity investments with a readily determinable fair value. The Company has measured its investments to fair value in accordance with ASC 321, Investments—Equity Securities, based on quoted prices in active markets.