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Supplementary Financial Information (Tables)
9 Months Ended
Jul. 31, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Cash, Cash Equivalents and Restricted Cash
Cash, cash equivalents and restricted cash
 As of
 July 31, 2023October 31, 2022
 In millions
Cash and cash equivalents$1,673 $3,145 
Restricted cash(1)
45 — 
$1,718 $3,145 
(1)    Restricted Cash is related to amounts collected and held on behalf of a third party for trade receivables previously sold.
Schedule of Cash, Cash Equivalents and Restricted Cash
Cash, cash equivalents and restricted cash
 As of
 July 31, 2023October 31, 2022
 In millions
Cash and cash equivalents$1,673 $3,145 
Restricted cash(1)
45 — 
$1,718 $3,145 
(1)    Restricted Cash is related to amounts collected and held on behalf of a third party for trade receivables previously sold.
Schedule of Allowance for Doubtful Accounts Related to Accounts Receivable
The allowance for credit losses related to accounts receivable and changes were as follows:
 Nine months ended July 31, 2023
 In millions
Balance at beginning of period$107 
Benefit of allowance for credit losses(7)
Deductions, net of recoveries(9)
Balance at end of period$91 
Schedule of Transferred Trade Receivables Not Collected from Third Parties
The following is a summary of the activity under these arrangements:
Three months ended July 31Nine months ended July 31
 2023 20222023 2022
 In millions
Balance at beginning of period(1)
$174 $173 $185 $131 
Trade receivables sold3,383 2,918 10,241 8,887 
Cash receipts(3,398)(2,897)(10,286)(8,811)
Foreign currency and other— (5)19 (18)
Balance at end of period(1)
$159 $189 $159 $189 
(1) Amounts outstanding from third parties reported in Accounts receivable in the Consolidated Condensed Balance Sheets.
Schedule of Inventory Inventory
 As of
 July 31, 2023October 31, 2022
 In millions
Finished goods$4,171 $4,885 
Purchased parts and fabricated assemblies3,026 2,729 
$7,197 $7,614 
Schedule of Other Current Assets
Other Current Assets
 As of
 July 31, 2023October 31, 2022
 In millions
Supplier and other receivables1,868 1,377 
Prepaid and other current assets1,451 2,086 
Value-added taxes receivable862 968 
$4,181 $4,431 
Schedule of Property, Plant and Equipment, Net
Property, Plant and Equipment, net
 As of
 July 31, 2023October 31, 2022
 In millions
Land, buildings and leasehold improvements$2,305 $2,255 
Machinery and equipment, including equipment held for lease5,385 5,337 
7,690 7,592 
Accumulated depreciation(4,907)(4,818)
$2,783 $2,774 
Schedule of Other Non-Current Assets
Other Non-Current Assets
 As of
 July 31, 2023October 31, 2022
 In millions
Deferred tax assets$3,054 $2,167 
Intangible assets1,690 1,933 
Right-of-use assets1,171 1,236 
Prepaid pension and post-retirement benefit assets559 642 
Deposits and prepaids470 474 
Other828 991 
$7,772 $7,443 
Schedule of Other Current Liabilities
Other Current Liabilities
 As of
 July 31, 2023October 31, 2022
 In millions
Sales and marketing programs$3,031 $2,984 
Deferred revenue1,379 1,393 
Other accrued taxes1,014 1,064 
Employee compensation and benefit905 954 
Warranty584 619 
Operating lease liabilities439 405 
Tax liability366 286 
Other2,906 2,963 
$10,624 $10,668 
Schedule of Other Non-Current Liabilities
Other Non-Current Liabilities
 As of
 July 31, 2023October 31, 2022
In millions
Deferred revenue$1,271 $1,171 
Tax liability957 911 
Operating lease liability829 875 
Pension, post-retirement, and post-employment liabilities595 600 
Deferred tax liability25 121 
Other774 856 
$4,451 $4,534 
Schedule of Interest and Other, Net
Interest and other, net
 Three months ended July 31Nine months ended July 31
 202320222023 2022
 In millions
Interest expense on borrowings$(134)$(96)$(429)$(229)
Net gain on debt extinguishment115 — 107 — 
Non-operating retirement-related credits14 38 40 110 
Factoring costs(1)
(37)— (99)— 
Other, net26 (12)24 (22)
$(16)$(70)$(357)$(141)
(1) For the three and nine months ended July 31, 2022, Factoring costs were included in Selling, general and administrative and were not material.
Schedule of Net Revenue by Region
Net revenue by region
Three months ended July 31Nine months ended July 31
 202320222023 2022
 In millions
Americas$5,880 $6,379 $17,052 $20,111 
Europe, Middle East and Africa4,285 4,712 13,330 16,670 
Asia-Pacific and Japan3,031 3,557 9,519 11,355 
Total net revenue$13,196 $14,648 $39,901 $48,136