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Derivatives and Foreign Exchange Risk Management, Freestanding Derivative Forward Contracts and Cash Flow Hedges (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 12 Months Ended 12 Months Ended
Apr. 27, 2012
Apr. 29, 2011
Apr. 27, 2012
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Foreign Currency Exchange Rate Contracts
Apr. 27, 2012
Interest Rate Swap
Oct. 28, 2011
Interest Rate Swap
Apr. 27, 2012
Other Expense, Net
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Other Expense, Net
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Cash Flow Hedging
Apr. 27, 2012
Cash Flow Hedging
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Cash Flow Hedging
Foreign Currency Exchange Rate Contracts
Apr. 27, 2012
Cash Flow Hedging
Other Expense, Net
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Cash Flow Hedging
Other Expense, Net
Foreign Currency Exchange Rate Contracts
Apr. 27, 2012
Cash Flow Hedging
Cost of Products Sold
Foreign Currency Exchange Rate Contracts
Apr. 29, 2011
Cash Flow Hedging
Cost of Products Sold
Foreign Currency Exchange Rate Contracts
Freestanding Derivative Forward Contracts                              
Notional amount of foreign currency derivatives not designated as hedging instruments $ 2,039 $ 2,453                          
Gain (loss) on foreign currency derivatives not designated as hedging instruments             53 (107)              
Cash Flow Hedges                              
Notional amount of cash flow hedge instruments     3,097 4,381                      
Gains/(losses) recognized in OCI on effective portion of derivative 332               (530) 332 (530)        
Effective portion of gains/(losses) on derivative reclassified from AOCI into income (127)               81     (141) 50 14 31
Notional amount of interest rate cash flow hedge           750                  
Weighted average fixed rate of interest rate derivatives           2.84%                  
Unrealized loss on interest rate cash flow hedges recorded in AOCI         (45)                    
Unrealized losses associated with cash flow hedging instruments 6 (188)                          
Cash flow hedge unrealized losses to be reclassified over the next twelve months $ 29