v3.26.1
LONG-TERM BORROWINGS
6 Months Ended
May 03, 2026
LONG-TERM BORROWINGS  
LONG-TERM BORROWINGS

(15)  Long-Term Borrowings

Long-term borrowings were as follows in millions:

May 3 

November 2

April 27

  ​

2026

  ​

2025

  ​

2025

Underwritten term debt:

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U.S. dollar notes and debentures:

6.55% debentures due 2028

$

200

$

200

$

200

5.375% notes due 2029

 

500

 

500

 

500

3.10% notes due 2030

700

700

700

8.10% debentures due 2030

 

250

 

250

 

250

4.15% notes due 2030*

 

493

 

498

7.125% notes due 2031

 

300

 

300

 

300

5.45% notes due 2035

 

1,250

 

1,250

 

1,250

3.90% notes due 2042

 

1,250

 

1,250

 

1,250

2.875% notes due 2049

500

500

500

3.75% notes due 2050

850

850

850

5.70% notes due 2055

750

750

750

Euro notes:

1.85% notes due 2028 (€600 principal)

704

694

683

2.20% notes due 2032 (€600 principal)

704

694

683

1.65% notes due 2039 (€650 principal)

763

752

740

Serial issuances:

Medium-term notes*

 

32,683

34,041

33,942

Other notes and finance lease obligations

 

509

 

470

 

372

Less: debt issuance costs and debt discounts

(145)

(155)

(159)

Long-term borrowings

 

$

42,261

$

43,544

$

42,811

 

* Includes fair value hedge adjustments related to derivatives.

The 4.15% notes due 2030 listed above were issued on October 9, 2025, by Deere Funding Canada Corporation (DFCC), an indirect wholly-owned subsidiary. These notes are fully and unconditionally guaranteed on a senior unsecured basis by Deere & Company and, therefore, rank equally with all our outstanding notes and debentures. DFCC financial results were not material to our condensed consolidated financial statements or results of operations, and as a result, we have elected to exclude summarized financial information.

Medium-term notes due through 2034 are primarily offered by prospectus and issued at fixed and variable rates. All outstanding notes and debentures are senior unsecured borrowings and rank equally with each other.

The principal balances of the 4.15% notes due 2030 and medium-term notes were as follows:

May 3 

November 2

April 27

2026

2025

2025

4.15% notes due 2030

$

500

$

500

Medium-term notes

32,956

34,241

$

34,241