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FAIR VALUE MEASUREMENTS - Financial Instruments (Details) - USD ($)
$ in Millions
Nov. 02, 2025
Oct. 27, 2024
Fair Values of Financial Instruments    
Receivables financed - net $ 51,398.9 $ 54,000.1
Securitization borrowings 6,595.4 8,429.3
Current maturities of long-term external borrowings 8,270.5 7,628.9
Long-term external borrowings 31,301.9 33,725.4
Related Party | Unconsolidated Affiliates of Parent Company    
Fair Values of Financial Instruments    
Notes receivable 392.0  
Level 3 | Related Party | Unconsolidated Affiliates of Parent Company    
Fair Values of Financial Instruments    
Notes receivable 400.6  
Level 3 | Unrestricted    
Fair Values of Financial Instruments    
Receivables financed - net 44,730.6 45,291.5
Level 3 | Securitized    
Fair Values of Financial Instruments    
Receivables financed - net $ 6,853.5 $ 8,651.8
Location of liability for pledged asset Securitization borrowings Securitization borrowings
Level 2    
Fair Values of Financial Instruments    
Securitization borrowings $ 6,629.9 $ 8,451.1
Current maturities of long-term external borrowings 8,292.3 7,600.4
Long-term external borrowings 31,712.5 33,904.9
Carrying Value    
Fair Values of Financial Instruments    
Securitization borrowings 6,595.4 8,429.3
Current maturities of long-term external borrowings 8,270.5 7,628.9
Long-term external borrowings 31,301.9 33,725.4
Carrying Value | Related Party | Unconsolidated Affiliates of Parent Company    
Fair Values of Financial Instruments    
Notes receivable 392.0  
Carrying Value | Unrestricted    
Fair Values of Financial Instruments    
Receivables financed - net 44,569.1 45,278.7
Carrying Value | Securitized    
Fair Values of Financial Instruments    
Receivables financed - net $ 6,829.8 $ 8,721.4
Location of liability for pledged asset Securitization borrowings Securitization borrowings