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SUPPLEMENTAL CONSOLIDATED FINANCIAL INFORMATION - Schedule of Information on Selected Assets (Details) - USD ($)
$ in Millions
May 02, 2025
Jan. 31, 2025
May 03, 2024
Feb. 02, 2024
Cash, cash equivalents, and restricted cash:        
Cash and cash equivalents $ 7,700 $ 3,633    
Cash and cash equivalents - held for sale 0 62    
Restricted cash 153 124    
Total cash, cash equivalents, and restricted cash 7,853 3,819 $ 5,962 $ 7,507
Inventories:        
Production materials 5,245 4,432    
Work-in-process 1,229 1,128    
Finished goods 941 1,156    
Total inventories 7,415 6,716    
Deferred costs:        
Total deferred costs, current 3,854 4,129    
Contract manufacturers' receivables:        
Total contract manufacturers' receivables 3,850 731    
Property, plant, and equipment, net:        
Total property, plant, and equipment 14,648 14,096    
Accumulated depreciation and amortization (8,265) (7,760)    
Total property, plant, and equipment, net 6,383 6,336    
Assets in a customer contract        
Property, plant, and equipment, net:        
Total property, plant, and equipment 5,559 5,204    
Computer and other equipment        
Property, plant, and equipment, net:        
Total property, plant, and equipment 3,744 3,651    
Land and buildings        
Property, plant, and equipment, net:        
Total property, plant, and equipment 2,894 2,838    
Internal use software        
Property, plant, and equipment, net:        
Total property, plant, and equipment $ 2,451 $ 2,403