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Cash and Cash Equivalents, Investments, and Funds Held for Customers (Tables)
3 Months Ended
Oct. 31, 2021
Cash and Cash Equivalents, Investments and Funds Held for Customers [Abstract]  
Cash and cash equivalents, investments and funds held for customers by balance sheet classification
The following table summarizes our cash and cash equivalents, investments, and funds held for customers by balance sheet classification at the dates indicated.
 October 31, 2021July 31, 2021
(In millions)Amortized
Cost
Fair ValueAmortized
Cost
Fair Value
Classification on condensed consolidated balance sheets:    
Cash and cash equivalents$2,864 $2,864 $2,562 $2,562 
Investments387 386 1,305 1,308 
Funds held for customers307 306 456 457 
Total cash and cash equivalents, investments, and funds
held for customers
$3,558 $3,556 $4,323 $4,327 
Cash and cash equivalents, investments and funds held for customers by investment category
The following table summarizes our cash and cash equivalents, investments, and funds held for customers by investment category at the dates indicated.
 October 31, 2021July 31, 2021
(In millions)Amortized
Cost
Fair ValueAmortized
Cost
Fair Value
Type of issue:    
Total cash, cash equivalents, restricted cash,
and restricted cash equivalents
$2,972 $2,972 $2,819 $2,819 
Available-for-sale debt securities:
Municipal bonds— — 37 38 
Corporate notes546 544 1,397 1,400 
U.S. agency securities40 40 70 70 
Total available-for-sale debt securities586 584 1,504 1,508 
Total cash, cash equivalents, restricted cash, restricted cash equivalents, and investments$3,558 $3,556 $4,323 $4,327 
Available-for-sale debt securities classified by the stated maturity date of the security
The following table summarizes our available-for-sale debt securities, included in investments and funds held for customers, classified by the stated maturity date of the security at the dates indicated.
 October 31, 2021July 31, 2021
(In millions)Amortized
Cost
Fair ValueAmortized
Cost
Fair Value
Due within one year$154 $154 $551 $553 
Due within two years300 299 550 551 
Due within three years132 131 398 398 
Due after three years— — 
Total available-for-sale debt securities$586 $584 $1,504 $1,508 
Schedule of funds held for customers
The following table summarizes our funds held for customers by investment category at the dates indicated.
(In millions)October 31, 2021July 31,
2021
Restricted cash and restricted cash equivalents$108 $257 
Restricted available-for-sale debt securities198 200 
Total funds held for customers$306 $457 
(In millions)October 31, 2020July 31,
2020
Restricted cash and restricted cash equivalents$284 $255 
Restricted available-for-sale debt securities200 200 
Total funds held for customers$484 $455