v3.26.1
Supplemental Financial Information (Tables)
6 Months Ended
May 03, 2026
Disclosure Text Block Supplement [Abstract]  
Summary of Inventory
May 3,
2026
November 2,
2025
(In millions)
Finished goods$1,858 $682 
Work-in-process1,801 1,280 
Raw materials669 308 
Total inventory$4,328 $2,270 
Summary of Other Current Assets
May 3,
2026
November 2,
2025
(In millions)
Current portion of contract assets
$5,918 $5,005 
Prepaid expenses1,140 518 
Other 369 457 
Total other current assets $7,427 $5,980 
Summary of Other Current Liabilities
May 3,
2026
November 2,
2025
(In millions)
Contract liabilities$10,038 $9,469 
Tax liabilities1,217 921 
Interest payable656 620 
Other 1,228 663 
Total other current liabilities$13,139 $11,673 
Summary of Other Long-Term Liabilities
May 3,
2026
November 2,
2025
(In millions)
Contract liabilities$4,204 $3,547 
Unrecognized tax benefits1,662 1,628 
Deferred tax liabilities1,615 2,704 
Other 2,469 1,423 
Total other long-term liabilities$9,950 $9,302 
Schedule of Cash Flow, Supplemental Disclosures
Fiscal Quarter EndedTwo Fiscal Quarters Ended
May 3,
2026
May 4,
2025
May 3,
2026
May 4,
2025
(In millions)
Cash paid for interest$695 $700 $1,314 $1,371 
Cash paid for income taxes$1,099 $608 $1,881 $1,012