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Fair Value Measurements - Financial Instruments (Details) - USD ($)
$ in Millions
Jan. 29, 2023
Oct. 30, 2022
Jan. 30, 2022
Fair Values of Financial Instruments      
Receivables financed - net $ 42,533.8 $ 42,374.5 $ 35,607.8
Securitization borrowings 4,863.9 5,710.9 3,473.8
Current maturities of long-term external borrowings 6,080.1 5,989.6 6,104.0
Long-term external borrowings 23,493.4 22,527.8 20,566.5
Level 3 | Unrestricted      
Fair Values of Financial Instruments      
Receivables financed - net 36,668.3 35,562.4 32,055.4
Level 3 | Securitized      
Fair Values of Financial Instruments      
Receivables financed - net $ 4,868.9 $ 5,696.3 $ 3,521.4
Location of liability for pledged asset Securitization borrowings Securitization borrowings Securitization borrowings
Level 2      
Fair Values of Financial Instruments      
Securitization borrowings $ 4,784.8 $ 5,576.6 $ 3,459.3
Current maturities of long-term external borrowings 5,957.2 5,887.7 6,110.6
Long-term external borrowings 23,126.2 21,792.7 20,629.5
Carrying Value      
Fair Values of Financial Instruments      
Securitization borrowings 4,863.9 5,710.9 3,473.8
Current maturities of long-term external borrowings 6,080.1 5,989.6 6,104.0
Long-term external borrowings 23,493.4 22,527.8 20,566.5
Carrying Value | Unrestricted      
Fair Values of Financial Instruments      
Receivables financed - net 37,444.9 36,438.6 32,100.0
Carrying Value | Securitized      
Fair Values of Financial Instruments      
Receivables financed - net $ 5,088.9 $ 5,935.9 $ 3,507.8
Location of liability for pledged asset Securitization borrowings Securitization borrowings Securitization borrowings