XML 56 R39.htm IDEA: XBRL DOCUMENT v3.10.0.1
Borrowings (Tables)
3 Months Ended
Oct. 27, 2018
Debt Disclosure [Abstract]  
Schedule of Short-Term Debt
The following table summarizes our short-term debt (in millions, except percentages):
 
October 27, 2018
 
July 28, 2018
 
Amount
 
Effective Rate
 
Amount
 
Effective Rate
Current portion of long-term debt
$
7,241

 
3.06
%
 
$
5,238

 
3.46
%
Schedule of Long-Term Debt
The following table summarizes our long-term debt (in millions, except percentages):
 
 
 
October 27, 2018
 
July 28, 2018
 
Maturity Date
 
Amount
 
Effective Rate
 
Amount
 
Effective Rate
Senior notes:
 
 
 
 
 
 
 
 
 
Floating-rate notes:
 
 
 
 
 
 
 
 
 
Three-month LIBOR plus 0.50%
March 1, 2019
 
$
500

 
2.88%
 
$
500

 
2.86%
Three-month LIBOR plus 0.34%
September 20, 2019
 
500

 
2.72%
 
500

 
2.71%
Fixed-rate notes:
 
 
 
 
 
 
 
 
 
4.95%
February 15, 2019
 
2,000

 
5.22%
 
2,000

 
5.17%
1.60%
February 28, 2019
 
1,000

 
1.67%
 
1,000

 
1.67%
2.125%
March 1, 2019
 
1,750

 
2.87%
 
1,750

 
2.71%
1.40%
September 20, 2019
 
1,500

 
1.48%
 
1,500

 
1.48%
4.45%
January 15, 2020
 
2,500

 
4.68%
 
2,500

 
4.52%
2.45%
June 15, 2020
 
1,500

 
2.54%
 
1,500

 
2.54%
2.20%
February 28, 2021
 
2,500

 
2.30%
 
2,500

 
2.30%
2.90%
March 4, 2021
 
500

 
3.05%
 
500

 
2.86%
1.85%
September 20, 2021
 
2,000

 
1.90%
 
2,000

 
1.90%
3.00%
June 15, 2022
 
500

 
3.32%
 
500

 
3.11%
2.60%
February 28, 2023
 
500

 
2.68%
 
500

 
2.68%
2.20%
September 20, 2023
 
750

 
2.27%
 
750

 
2.27%
3.625%
March 4, 2024
 
1,000

 
3.17%
 
1,000

 
2.98%
3.50%
June 15, 2025
 
500

 
3.48%
 
500

 
3.27%
2.95%
February 28, 2026
 
750

 
3.01%
 
750

 
3.01%
2.50%
September 20, 2026
 
1,500

 
2.55%
 
1,500

 
2.55%
5.90%
February 15, 2039
 
2,000

 
6.11%
 
2,000

 
6.11%
5.50%
January 15, 2040
 
2,000

 
5.67%
 
2,000

 
5.67%
Total
 
 
25,750

 
 
 
25,750

 
 
Unaccreted discount/issuance costs
 
 
(112
)
 
 
 
(116
)
 
 
Hedge accounting fair value adjustments
 
 
(74
)
 
 
 
(65
)
 
 
Total
 
 
$
25,564

 
 
 
$
25,569

 
 
 
 
 
 
 
 
 
 
 
 
Reported as:
 
 
 
 
 
 
 
 
 
Current portion of long-term debt
 
 
$
7,241

 
 
 
$
5,238

 
 
Long-term debt
 
 
18,323

 
 
 
20,331

 
 
Total
 
 
$
25,564

 
 
 
$
25,569

 
 

Schedule of Principal Payments for Long-Term Debt
As of October 27, 2018, future principal payments for long-term debt, including the current portion, are summarized as follows (in millions):
Fiscal Year
Amount
2019 (remaining nine months)
$
5,250

2020
6,000

2021
3,000

2022
2,500

2023
500

Thereafter
8,500

Total
$
25,750