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Securitization of Receivables (Details) - USD ($)
$ in Millions
12 Months Ended
Oct. 30, 2022
Nov. 27, 2022
Oct. 31, 2021
Nov. 01, 2020
Securitization of Receivables        
Total receivables $ 42,502.9   $ 36,669.6 $ 33,557.3
Other assets 314.3   324.5  
Securitization borrowings 5,710.9   4,595.2  
Accrued interest on borrowings - securitization transactions 6.1   1.7  
Total liabilities related to restricted securitized assets $ 5,717.0   4,596.9  
Maximum remaining term of all restricted receivables 7 years      
Securitization borrowings        
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, 2023 $ 2,702.7      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2024 1,662.0      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2025 955.3      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2026 373.2      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2027 24.9      
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, Later years 2.8      
Bank Conduit Facilities Revolving Credit Agreement        
Securitization of Receivables        
Bank conduit facilities revolving credit agreement capacity 1,000.0      
Subsequent Event | Bank Conduit Facilities Revolving Credit Agreement        
Securitization of Receivables        
Bank conduit facilities revolving credit agreement capacity   $ 1,500.0    
Securitized        
Securitization of Receivables        
Other assets 155.2   106.6  
Total Assets 6,091.1   4,755.5  
Retail notes | Securitized        
Securitization of Receivables        
Total receivables $ 5,951.6   $ 4,662.4  
Location of liability for pledged asset Securitization borrowings   Securitization borrowings  
Allowance for credit losses $ (15.7)   $ (13.5)  
VIE-Primary Beneficiary        
Securitization of Receivables        
Total liabilities related to restricted securitized assets 4,767.9   3,024.0  
VIE-Primary Beneficiary | Securitized        
Securitization of Receivables        
Total Assets 5,037.6   3,093.6  
Non-VIE Banking Operation        
Securitization of Receivables        
Total liabilities related to restricted securitized assets 189.8   460.1  
Non-VIE Banking Operation | Securitized        
Securitization of Receivables        
Total Assets 210.7   486.1  
VIE-Not Primary Beneficiary        
Securitization of Receivables        
Total liabilities related to restricted securitized assets 759.3   1,112.8  
Unconsolidated conduits, maximum exposure to loss 842.8      
Total assets 18,000.0      
VIE-Not Primary Beneficiary | Securitized        
Securitization of Receivables        
Total Assets $ 842.8   $ 1,175.8