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