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Derivative Instruments - Notional Amounts and Fair Values (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Jun. 03, 2021
Jun. 03, 2021
Sep. 03, 2020
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] $ 34 $ 34 $ 45
Fair Value of Liabilities [2] $ (93) $ (93) (3)
Convertible notes settlement obligation      
Derivative, Fair Value, Net [Abstract]      
General maturity of cash flow hedges (in years) 20 days    
Designated hedging instruments | Cash flow hedges      
Derivative, Fair Value, Net [Abstract]      
General maturity of cash flow hedges (in years)   2 years  
Designated hedging instruments | Cash flow hedges | Currency Hedges      
Notional Disclosures [Abstract]      
Notional or Contractual Amount $ 3,842 $ 3,842 1,845
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] 30 30 41
Fair Value of Liabilities [2] (65) (65) (2)
Designated hedging instruments | Cash flow hedges | Commodity Contract      
Notional Disclosures [Abstract]      
Notional or Contractual Amount 41 41  
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] 3 3  
Fair Value of Liabilities [2] 0 0  
Designated hedging instruments | Fair value hedges | Interest Rate Swap      
Notional Disclosures [Abstract]      
Notional or Contractual Amount 900 900  
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] 0 0  
Fair Value of Liabilities [2] (2) $ (2)  
Not designated hedging instruments      
Derivative, Fair Value, Net [Abstract]      
General maturity of currency forward contracts (in months)   3 months  
Not designated hedging instruments | Currency Hedges      
Notional Disclosures [Abstract]      
Notional or Contractual Amount 877 $ 877 1,587
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] 1 1 4
Fair Value of Liabilities [2] (1) (1) $ (1)
Not designated hedging instruments | Convertible notes settlement obligation      
Notional Disclosures [Abstract]      
Notional or Contractual Amount 3 3  
Derivative, Fair Value, Net [Abstract]      
Fair Value of Assets [1] 0 0  
Fair Value of Liabilities [2] $ (25) $ (25)  
[1] Included in receivables – other and other noncurrent assets.
[2] Included in accounts payable and accrued expenses – other and other noncurrent liabilities.