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SECURITIZATION OF RECEIVABLES (Tables)
6 Months Ended
May 03, 2026
SECURITIZATION OF RECEIVABLES  
Components of Consolidated Restricted Assets, Secured Borrowings and Other Liabilities Related to Securitization Transactions

The components of the securitization programs were as follows:

May 3

November 2

April 27

2026

2025

2025

Retail notes securitized

$

6,137.4

$

6,870.8

$

7,810.1

Allowance for credit losses

 

(38.0)

 

(41.0)

 

(46.6)

Other assets*

 

170.3

 

173.5

 

183.4

Total restricted securitized assets

$

6,269.7

$

7,003.3

$

7,946.9

Securitization borrowings

$

5,927.6

$

6,595.4

$

7,561.1

Accrued interest on borrowings

 

13.2

 

15.1

 

11.8

Total liabilities related to restricted securitized assets

$

5,940.8

$

6,610.5

$

7,572.9

* Primarily restricted cash of $147.6, $161.8, and $166.2 at May 3, 2026, November 2, 2025, and April 27, 2025, respectively.