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Debt - Schedule of Long-term Debt (Details)
6 Months Ended
Feb. 06, 2019
USD ($)
Feb. 28, 2019
USD ($)
d
Aug. 30, 2018
USD ($)
Long-term Debt, by Current and Noncurrent [Abstract]      
Current debt   $ 2,634,000,000 $ 859,000,000
Long-term debt   3,604,000,000 3,777,000,000
Total   $ 6,238,000,000 4,636,000,000
Convertible Debt      
Convertible Senior Notes      
Conversion rights, minimum number of trading days (in days) | d   20  
Conversion rights, consecutive trading period (in days) | d   30  
Conversion rights, threshold percentage of applicable conversion price (in hundredths)   130.00%  
Convertible Debt | IMFT Member Debt      
Long-term Debt, by Current and Noncurrent [Abstract]      
Current debt   $ 1,009,000,000 [1] 0
Long-term debt   0 [1] 1,009,000,000
Total   $ 1,009,000,000 [1] 1,009,000,000
Convertible Debt | 2032D Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   3.13%  
Effective Rate (in ten thousandths)   6.33%  
Current debt   $ 0 0
Long-term debt   125,000,000 132,000,000
Total   $ 125,000,000 132,000,000
Convertible Debt | 2033F Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   2.13%  
Effective Rate (in ten thousandths)   4.93%  
Current debt   $ 68,000,000 235,000,000
Long-term debt   0 0
Total   $ 68,000,000 235,000,000
Convertible Debt | 2043G Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   3.00%  
Effective Rate (in ten thousandths)   6.76%  
Current debt   $ 1,110,000,000 0
Long-term debt   0 682,000,000
Total   1,110,000,000 682,000,000
Convertible Debt | 2032D and 2033F      
Convertible Senior Notes      
Conversion value of convertible notes   807,000,000  
Principal amount of convertible notes   203,000,000  
Conversion value in excess of principal   604,000,000  
Capital lease obligations      
Long-term Debt, by Current and Noncurrent [Abstract]      
Current debt   261,000,000 310,000,000
Long-term debt   455,000,000 536,000,000
Total   $ 716,000,000 846,000,000
Reorganization obligation      
Long-term Debt, by Current and Noncurrent [Abstract]      
Effective Rate (in ten thousandths)   9.76%  
Current debt   $ 181,000,000 309,000,000
Long-term debt   0 183,000,000
Total   $ 181,000,000 492,000,000
Secured Debt | 2022 Term Loan B      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   4.25%  
Effective Rate (in ten thousandths)   4.66%  
Current debt   $ 5,000,000 5,000,000
Long-term debt   718,000,000 720,000,000
Total   $ 723,000,000 725,000,000
Corporate Bonds | 2024 Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   4.64%  
Effective Rate (in ten thousandths)   4.76%  
Current debt   $ 0 0
Long-term debt   597,000,000 0
Total   $ 597,000,000 0
Corporate Bonds | 2025 Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   5.50%  
Effective Rate (in ten thousandths)   5.56%  
Current debt   $ 0 0
Long-term debt   516,000,000 515,000,000
Total   $ 516,000,000 515,000,000
Corporate Bonds | 2026 Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   4.98%  
Effective Rate (in ten thousandths)   5.07%  
Current debt   $ 0 0
Long-term debt   497,000,000 0
Total   $ 497,000,000 0
Corporate Bonds | 2029 Notes      
Long-term Debt, by Current and Noncurrent [Abstract]      
Stated Rate (in ten thousandths)   5.33%  
Effective Rate (in ten thousandths)   5.40%  
Current debt   $ 0 0
Long-term debt   696,000,000 0
Total   696,000,000 0
Corporate Bonds | 2024 Notes, 2026 Notes, and 2029 Notes      
Senior Unsecured Notes      
Debt issuance costs $ 11,000,000    
Restricted subsidiaries, ownership percentage by parent 80.00%    
Redemption price percentage upon change in control 101.00%    
Notes Payable, Other Payables | Revolving Credit Facility      
Long-term Debt, by Current and Noncurrent [Abstract]      
Total   0  
Available Revolving Credit Facility [Abstract]      
Line of credit facility, Maximum borrowing capacity   $ 2,500,000,000 $ 2,000,000,000
Weighted Average | Capital lease obligations      
Long-term Debt, by Current and Noncurrent [Abstract]      
Effective Rate (in ten thousandths)   4.12%  
[1] IMFT Member Debt was classified as current as of February 28, 2019 as a result of exercising our option to acquire Intel's interest in IMFT.