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SECURITIZATION OF FINANCING RECEIVABLES (Details) - USD ($)
$ in Millions
Nov. 26, 2023
Oct. 29, 2023
Oct. 30, 2022
Oct. 31, 2021
Securitization of Financing Receivables        
Other assets   $ 2,503 $ 2,417  
Total Assets   104,087 90,030 $ 84,114
Short-term securitization borrowings   6,995 5,711  
Accrued interest on borrowings - securitization transactions   13 6  
Total liabilities related to restricted securitized assets   $ 7,008 $ 5,717  
Weighted-average interest rates on short-term securitization borrowings (as a percent)   4.70% 2.80%  
Securitized        
Securitization of Financing Receivables        
Financing receivables securitized (retail notes)   $ 7,357 $ 5,952  
Allowance for credit losses   (22) (16)  
Other assets   152 155  
Total Assets   7,487 $ 6,091  
Bank Conduit Facilities Revolving Credit Agreement        
Securitization of Financing Receivables        
Revolving credit agreement capacity   1,500    
Revolving credit agreement securitization borrowings outstanding   $ 1,281    
Bank Conduit Facilities Revolving Credit Agreement | Subsequent Event        
Securitization of Financing Receivables        
Revolving credit agreement capacity $ 2,000