v3.26.1
Debt (Tables)
12 Months Ended
Jul. 31, 2026
Debt Disclosure [Abstract]  
Schedule of Convertible Senior Notes Details
The following table presents details of our 2025 Notes (number of shares in millions):
Conversion Rate per $1,000 PrincipalInitial Conversion PriceConvertible DateInitial Number of Shares
2025 Notes20.1612 $49.60 March 1, 202540 
Schedule of Interest Expense Recognized related to the Convertible Senior Notes
The following table sets forth interest expense recognized related to our 2025 Notes (dollars in millions):
Year Ended July 31,
20252024
Contractual interest expense$$
Amortization of debt issuance costs
Total interest expense recognized$$
Effective interest rate of the liability component0.6%0.6%
Schedule of Note Hedge Transactions
The following table presents details of our Note Hedges (in millions):
Initial Number of SharesAggregate Purchase
2025 Note Hedges40 $371 
Schedule of Warrants
The following table presents details of our 2025 Warrants (in millions, except per share data):
Initial Number of SharesStrike Price per ShareAggregate Proceeds
2025 Warrants40 $68.08 $203