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Fair Value Measurements (Details 3) - USD ($)
$ in Millions
12 Months Ended
Oct. 31, 2015
Oct. 31, 2014
Oct. 31, 2013
Assets and liabilities measured at fair value      
Receivables - net $ 28,982.6 $ 30,393.5  
Equipment on operating leases - net 3,609.8 2,590.3  
Fair Value, Nonrecurring Measurements | Level 3      
Assets and liabilities measured at fair value      
Equipment on operating leases - net 478.7    
Losses, Equipment on operating leases - net 10.3    
Other assets 96.2    
Losses, Other assets 9.1    
Total fair value 584.2 5.3  
Total (gains) losses 18.7 (1.8) $ 3.7
Fair Value, Nonrecurring Measurements | Level 3 | Retail notes      
Assets and liabilities measured at fair value      
Receivables - net   5.3  
(Gains) losses on fair value of receivables (1.7) 1.7  
Fair Value, Nonrecurring Measurements | Level 3 | Revolving charge accounts      
Assets and liabilities measured at fair value      
(Gains) losses on fair value of receivables (0.2) 0.2  
Fair Value, Nonrecurring Measurements | Level 3 | Wholesale receivables      
Assets and liabilities measured at fair value      
Receivables - net 8.7    
(Gains) losses on fair value of receivables 1.0    
Fair Value, Nonrecurring Measurements | Level 3 | Financing leases      
Assets and liabilities measured at fair value      
Receivables - net 0.6    
(Gains) losses on fair value of receivables $ 0.2    
Fair Value, Nonrecurring Measurements | Level 3 | Operating loans      
Assets and liabilities measured at fair value      
(Gains) losses on fair value of receivables   $ (3.7) $ 3.7