XML 59 R69.htm IDEA: XBRL DOCUMENT v3.19.3.a.u2
Short-Term Borrowings (Details) - USD ($)
$ in Millions
Nov. 03, 2019
Oct. 28, 2018
Short-Term Borrowings    
Commercial paper and other notes payable $ 1,460.9 $ 2,112.9
Securitization borrowings 4,277.0 3,881.7
John Deere 1,855.3 1,376.8
Current maturities of long-term borrowings 5,716.6 4,587.6
Total short-term borrowings $ 13,309.8 $ 11,959.0
Payment Schedule for Securitization Borrowings Based on Expected Liquidation of Retail Notes    
Weighted-average interest rate on total short-term borrowings, excluding current maturities of long-term borrowings (as a percent) 2.20% 2.60%
Securitization Borrowings    
Short-Term Borrowings    
Securitization borrowings $ 4,277.0  
Payment Schedule for Securitization Borrowings Based on Expected Liquidation of Retail Notes    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2020 2,149.0  
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2021 1,265.3  
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2022 657.4  
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2023 194.6  
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2024 14.8  
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2025 $ 1.2