v3.26.1
SECURITIZATION OF FINANCING RECEIVABLES (Tables)
9 Months Ended
Aug. 02, 2026
SECURITIZATION OF FINANCING RECEIVABLES  
Components of the Securitization Programs

The components of the securitization programs were as follows:

 

  ​

August 2

  ​ ​ ​

November 2

  ​ ​ ​

July 27

 

2026

2025

2025

 

Financing receivables securitized (retail notes)

 

$

6,355

$

6,872

$

7,996

Allowance for credit losses

(39)

 

(41)

 

(48)

Other assets (primarily restricted cash)

156

 

171

 

175

Total restricted securitized assets

 

$

6,472

$

7,002

$

8,123

Short-term securitization borrowings

$

6,095

$

6,596

$

7,610

Accrued interest on borrowings

12

15

 

11

Total liabilities related to restricted securitized assets

$

6,107

$

6,611

$

7,621