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Pension And Postretirement Benefits (Schedule Of Changes in Fair Value Of Level 3 Investments) (Details) (USD $)
In Millions
12 Months Ended
Jul. 31, 2011
Aug. 01, 2010
Fair value at beginning of year $ 1,767 $ 1,415
Actual return on plan assets 266 222
Fair value at end of year 2,059 1,767
Level 3 [Member]
   
Fair value at beginning of year 50 68
Actual return on plan assets 6 (4)
Purchases   1
Sales (11) (4)
Settlements (6)  
Transfers out of Level 3   (11)
Fair value at end of year 39 50
Level 3 [Member] | Real Estate [Member]
   
Fair value at beginning of year 18 32
Actual return on plan assets 4 (2)
Purchases    
Sales (3) (1)
Settlements    
Transfers out of Level 3   (11)
Fair value at end of year 19 18
Level 3 [Member] | Limited Partnerships [Member]
   
Fair value at beginning of year 24 31
Actual return on plan assets 4 (4)
Purchases    
Sales (8) (3)
Settlements    
Transfers out of Level 3    
Fair value at end of year 20 24
Level 3 [Member] | Guaranteed Insurance Contracts [Member]
   
Fair value at beginning of year 8 5
Actual return on plan assets (2) 2
Purchases   1
Sales    
Settlements (6)  
Transfers out of Level 3    
Fair value at end of year   8
Real Estate [Member]
   
Fair value at end of year 70 60
Limited Partnerships [Member]
   
Fair value at end of year 20 24
Guaranteed Insurance Contracts [Member]
   
Fair value at end of year   $ 8