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Debt (Tables)
3 Months Ended
Nov. 29, 2012
Table Text Block [Abstract]  
Schedule of Debt

As of
 
November 29,
2012
 
August 30,
2012
2014 convertible senior notes, due June 2014 at stated rate of 1.875%, effective rate of 7.9%, net of discount of $77 and $89, respectively
 
$
872

 
$
860

Capital lease obligations, due in periodic installments through August 2050 at 4.9%
 
868

 
883

2032C convertible senior notes, due May 2032 at stated rate of 2.375%, effective rate of 6.0%, net of discount of $96 and $99, respectively
 
454

 
451

2032D convertible senior notes, due May 2032 at stated rate of 3.125%, effective rate of 6.3%, net of discount of $87 and $89, respectively
 
363

 
361

2031A convertible senior notes, due August 2031 at stated rate of 1.5%, effective rate of 6.5%, net of discount of $77 and $80, respectively
 
268

 
265

2031B convertible senior notes, due August 2031 at stated rate of 1.875%, effective rate of 7.0%, net of discount of $99 and $102, respectively
 
246

 
243

Term note payable, due in periodic installments through October 2017 at stated rate of 2.4%
 
173

 

2027 convertible senior notes, due June 2027 at stated rate of 1.875%, effective rate of 6.9%, net of discount of $33 and $34, respectively
 
142

 
141

Intel senior note, due in periodic installments through April 2014 at variable rate
 
49

 
58

 
 
3,435

 
3,262

Less current portion
 
(266
)
 
(224
)
 
 
$
3,169

 
$
3,038