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Financing Arrangements (Tables)
6 Months Ended
Oct. 25, 2019
Debt Disclosure [Abstract]  
Long-term Debt
The Company's debt obligations consisted of the following:
(in millions)Maturity by
Fiscal Year
October 25, 2019April 26, 2019
Current debt obligations2020$875  $838  
Long-term debt
0.000 percent two-year 2019 senior notes
20211,666  1,681  
Floating rate two-year 2019 senior notes
2021833  560  
4.125 percent ten-year 2011 senior notes
2021—  500  
3.150 percent seven-year 2015 senior notes
20221,534  2,500  
3.125 percent ten-year 2012 senior notes
2022—  675  
3.200 percent ten-year 2012 CIFSA senior notes
2023650  650  
0.375 percent four-year 2019 senior notes
20231,666  1,681  
2.750 percent ten-year 2013 senior notes
2023530  530  
0.000 percent four-year 2019 senior notes
2023833  —  
2.950 percent ten-year 2013 CIFSA senior notes
2024310  310  
3.625 percent ten-year 2014 senior notes
2024432  850  
3.500 percent ten-year 2015 senior notes
20252,700  4,000  
0.250 percent seven-year 2019 senior notes
20261,111  —  
1.125 percent eight-year 2019 senior notes
20271,666  1,681  
3.350 percent ten-year 2017 senior notes
2027368  850  
1.625 percent twelve-year 2019 senior notes
20311,111  1,121  
1.000 percent thirteen-year 2019 senior notes
20321,111  —  
4.375 percent twenty-year 2015 senior notes
20351,932  2,382  
6.550 percent thirty-year 2007 CIFSA senior notes
2038253  284  
2.250 percent twenty-year 2019 senior notes
20391,111  1,121  
6.500 percent thirty-year 2009 senior notes
2039158  183  
5.550 percent thirty-year 2010 senior notes
2040224  306  
1.500 percent twenty-year 2019 senior notes
20401,111  —  
4.500 percent thirty-year 2012 senior notes
2042105  129  
4.000 percent thirty-year 2013 senior notes
2043305  325  
4.625 percent thirty-year 2014 senior notes
2044127  177  
4.625 percent thirty-year 2015 senior notes
20451,813  1,963  
1.750 percent thirty-year 2019 senior notes
20501,111  —  
Bank borrowings2021 - 202280  83  
Debt (discount) premium, net2020 - 2050(15) 29  
Finance lease obligations2021 - 203327  10  
Interest rate swapsN/A—   
Deferred financing costs2020 - 2050(111) (104) 
Long-term debt$24,752  $24,486