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SUPPLEMENTAL CASH FLOW INFORMATION
12 Months Ended
Nov. 02, 2025
SUPPLEMENTAL CASH FLOW INFORMATION  
SUPPLEMENTAL CASH FLOW INFORMATION

NOTE 16. SUPPLEMENTAL CASH FLOW INFORMATION

For purposes of the statements of consolidated cash flows, all cash flows related to short-term borrowings with original maturities of three months or less, in addition to securitization borrowings, are reported on a net basis. During 2025, we issued $2,618.4 and retired $4,457.4 of retail note securitization borrowings.

Supplemental cash flow information was as follows:

2025

2024

2023

Cash paid for interest

$

2,473.5

$

2,568.1

$

1,726.6

Cash paid (received) for income taxes

112.7

261.5

(43.2)