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Fair Value (Tables)
6 Months Ended
Jun. 27, 2020
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
ASSETS AND LIABILITIES MEASURED AND RECORDED AT FAIR VALUE ON A RECURRING BASIS
Jun 27, 2020Dec 28, 2019
Fair Value Measured and
Recorded at Reporting Date Using
 
Fair Value Measured and
Recorded at Reporting Date Using
 
(In Millions)
Level 1
Level 2
Level 3
Total
Level 1
Level 2
Level 3
Total
Assets
Cash equivalents:
Corporate debt$—  $715  $—  $715  $—  $713  $—  $713  
Financial institution instruments¹3,870  1,591  —  5,461  1,064  408  —  1,472  
Government debt²—  666  —  666  —  —  —  —  
Reverse repurchase agreements—  1,400  —  1,400  —  1,500  —  1,500  
Short-term investments:
Corporate debt—  1,426  —  1,426  —  347  —  347  
Financial institution instruments¹—  2,096  —  2,096  —  724  —  724  
Government debt²—  1,269  —  1,269  —  11  —  11  
Trading assets:
Corporate debt—  3,605  —  3,605  —  2,848  —  2,848  
Financial institution instruments¹206  2,304  —  2,510  87  1,578  —  1,665  
Government debt²—  6,173  —  6,173  —  3,334  —  3,334  
Other current assets:
Derivative assets30  250  —  280  50  230  —  280  
Loans receivable³—  348  —  348  —  —  —  —  
Marketable equity securities464  —  —  464  450  —  —  450  
Other long-term investments:
Corporate debt—  1,864  —  1,864  —  1,898  —  1,898  
Financial institution instruments¹—  452  —  452  —  825  —  825  
Government debt²—  568  —  568  —  553  —  553  
Other long-term assets:
Derivative assets—  1,679  35  1,714  —  690  16  706  
Loans receivable³—  212  —  212  —  554  —  554  
Total assets measured and recorded at fair value$4,570  $26,618  $35  $31,223  $1,651  $16,213  $16  $17,880  
Liabilities
Other accrued liabilities:
Derivative liabilities$48  $432  $—  $480  $ $287  $—  $290  
Other long-term liabilities:
Derivative liabilities—  22  —  22  —  13  —  13  
Total liabilities measured and recorded at fair value$48  $454  $—  $502  $ $300  $—  $303  
1Level 1 investments consist of money market funds. Level 2 investments consist primarily of commercial paper, certificates of deposit, time deposits, and notes and bonds issued by financial institutions.
2Level 2 investments consist primarily of U.S. agency notes and non-U.S. government debt.
3The fair value of our loans receivable for which we elected the fair value option did not significantly differ from the contractual principal balance based on the contractual currency.