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Supplemental Financial Information (Tables)
3 Months Ended
Jan. 30, 2022
Disclosure Text Block Supplement [Abstract]  
Summary of Inventory
January 30,
2022
October 31,
2021
(In millions)
Finished goods$526 $423 
Work-in-process779 680 
Raw materials215 194 
Total inventory$1,520 $1,297 
Summary of Other Current Assets
January 30,
2022
October 31,
2021
(In millions)
Prepaid expenses$579 $539 
Other (miscellaneous)484 516 
Total other current assets $1,063 $1,055 
Summary of Other Current Liabilities
January 30,
2022
October 31,
2021
(In millions)
Contract liabilities$3,027 $2,619 
Tax liabilities556 541 
Interest payable417 282 
Other (miscellaneous)378 397 
Total other current liabilities$4,378 $3,839 
Summary of Other Long-Term Liabilities
January 30,
2022
October 31,
2021
(In millions)
Unrecognized tax benefits$3,366 $3,407 
Other (miscellaneous)1,372 1,453 
Total other long-term liabilities$4,738 $4,860 
Schedule of Cash Flow, Supplemental Disclosures
Fiscal Quarter Ended
January 30,
2022
January 31,
2021
(In millions)
Cash paid for interest$240 $372 
Cash paid for income taxes$186 $147