v3.25.4
Supplemental Financial Information (Tables)
3 Months Ended
Feb. 01, 2026
Disclosure Text Block Supplement [Abstract]  
Summary of Inventory
February 1,
2026
November 2,
2025
(In millions)
Finished goods$842 $682 
Work-in-process1,544 1,280 
Raw materials576 308 
Total inventory$2,962 $2,270 
Summary of Other Current Assets
February 1,
2026
November 2,
2025
(In millions)
Current portion of contract assets
$5,536 $5,005 
Prepaid expenses641 518 
Other 289 457 
Total other current assets $6,466 $5,980 
Summary of Other Current Liabilities
February 1,
2026
November 2,
2025
(In millions)
Contract liabilities$9,188 $9,469 
Tax liabilities1,088 921 
Interest payable673 620 
Other 682 663 
Total other current liabilities$11,631 $11,673 
Summary of Other Long-Term Liabilities
February 1,
2026
November 2,
2025
(In millions)
Contract liabilities$3,667 $3,547 
Deferred tax liabilities2,222 2,704 
Unrecognized tax benefits1,668 1,628 
Other 1,810 1,423 
Total other long-term liabilities$9,367 $9,302 
Schedule of Cash Flow, Supplemental Disclosures
Fiscal Quarter Ended
February 1,
2026
February 2,
2025
(In millions)
Cash paid for interest$619 $671 
Cash paid for income taxes$782 $404