v3.26.1
STATEMENTS OF CONSOLIDATED CASH FLOWS - USD ($)
$ in Millions
3 Months Ended 9 Months Ended 12 Months Ended
Aug. 02, 2026
Jul. 27, 2025
Aug. 02, 2026
Jul. 27, 2025
Nov. 02, 2025
Cash Flows from Operating Activities          
Net income $ 1,377 $ 1,271 $ 3,802 $ 3,938  
Adjustments to reconcile net income to net cash provided by operating activities:          
Provision for credit losses     205 258  
Depreciation and amortization 603 564 1,787 1,668  
Impairments and other adjustments       29  
Share-based compensation expense     116 104  
Credit for deferred income taxes     (61) (102)  
Changes in assets and liabilities:          
Receivables related to sales     (1,252) (494)  
Inventories     (443) (526)  
Accounts payable and accrued expenses     (266) (717)  
Accrued income taxes payable/receivable     (119) (147)  
Retirement benefits     (367) (813)  
Other     (152) 266  
Net cash provided by operating activities     3,250 3,464  
Cash Flows from Investing Activities          
Collections of receivables (excluding receivables related to sales)     19,922 19,712  
Proceeds from maturities and sales of marketable securities     389 359  
Proceeds from sales of equipment on operating leases     1,479 1,408  
Cost of receivables acquired (excluding receivables related to sales)     (19,139) (18,962)  
Acquisitions of businesses, net of cash acquired     (455) (89)  
Purchases of marketable securities     (361) (598)  
Purchases of property and equipment     (716) (852)  
Cost of equipment on operating leases acquired     (1,933) (2,009)  
Collections of receivables from unconsolidated affiliates     197 334  
Collateral on derivatives - net     (63) 127  
Other     (145) (231)  
Net cash used for investing activities     (825) (801)  
Cash Flows from Financing Activities          
Net proceeds (payments) in short-term borrowings (original maturities three months or less)     3,205 (2,060)  
Proceeds from borrowings issued (original maturities greater than three months)     5,373 10,707  
Payments of borrowings (original maturities greater than three months)     (8,338) (7,743)  
Repurchases of common stock     (697) (1,136)  
Dividends paid     (1,316) (1,282)  
Other     (55) (43)  
Net cash used for financing activities     (1,828) (1,557)  
Effect of Exchange Rate Changes on Cash, Cash Equivalents, and Restricted Cash     20 108  
Net Increase in Cash, Cash Equivalents, and Restricted Cash     617 1,214  
Cash, Cash Equivalents, and Restricted Cash at Beginning of Period     8,533 7,633 $ 7,633
Cash, Cash Equivalents, and Restricted Cash at End of Period 9,150 8,847 9,150 8,847 8,533
Components of Cash, Cash Equivalents, and Restricted Cash          
Cash and cash equivalents 8,928 8,580 8,928 8,580 8,276
Restricted cash (Other assets) $ 222 $ 267 $ 222 $ 267  
Balance sheet location of restricted cash Other assets Other assets Other assets Other assets  
Total Cash, Cash Equivalents, and Restricted Cash $ 9,150 $ 8,847 $ 9,150 $ 8,847 $ 8,533