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Financing Arrangements (Tables)
9 Months Ended
Jan. 23, 2026
Debt Disclosure [Abstract]  
Schedule of Debt Obligations
The Company's debt obligations consisted of the following:
(in millions)Maturity by
Fiscal Year
January 23, 2026April 25, 2025
Current debt obligations2026 - 2027$191 $2,874 
Long-term debt
1.125 percent eight-year 2019 senior notes
20271,757 1,714 
4.250 percent five-year 2023 senior notes
20281,000 1,000 
3.000 percent six-year 2022 senior notes
20291,171 1,142 
0.375 percent eight-year 2020 senior notes
20291,171 1,142 
3.650 percent five-year 2024 senior notes
2030996 971 
2.950 percent five-year 2025 senior notes
2031878 — 
1.625 percent twelve-year 2019 senior notes
20311,171 1,142 
1.000 percent twelve-year 2019 senior notes
20321,171 1,142 
3.125 percent nine-year 2022 senior notes
20321,171 1,142 
0.750 percent twelve-year 2020 senior notes
20331,171 1,142 
4.500 percent ten-year 2023 senior notes
20331,000 1,000 
3.375 percent twelve-year 2022 senior notes
20351,171 1,142 
4.375 percent twenty-year 2015 senior notes
20351,932 1,932 
3.875 percent twelve-year 2024 senior notes
2037996 971 
6.550 percent thirty-year 2007 CIFSA senior notes
2038253 253 
2.250 percent twenty-year 2019 senior notes
20391,171 1,142 
6.500 percent thirty-year 2009 senior notes
2039158 158 
1.500 percent twenty-year 2019 senior notes
20401,171 1,142 
5.550 percent thirty-year 2010 senior notes
2040224 224 
1.375 percent twenty-year 2020 senior notes
20411,171 1,142 
4.500 percent thirty-year 2012 senior notes
2042105 105 
4.000 percent thirty-year 2013 senior notes
2043305 305 
4.150 percent nineteen-year 2024 senior notes
2044703 685 
4.625 percent thirty-year 2014 senior notes
2044127 127 
4.625 percent thirty-year 2015 senior notes
20451,813 1,813 
4.200 percent twenty-year 2025 senior notes
2046878 — 
1.750 percent thirty-year 2019 senior notes
20501,171 1,142 
1.625 percent thirty-year 2020 senior notes
20511,171 1,142 
4.150 percent twenty-nine-year 2024 senior notes
2054820 800 
Finance lease obligations2027 - 204158 52 
Debt discount, net2027 - 2054(58)(59)
Deferred financing costs2027 - 2054(118)(117)
Total long-term debt$27,880 $25,642