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SECURITIZATION OF RECEIVABLES (Details) - USD ($)
$ in Millions
1 Months Ended 12 Months Ended
Nov. 24, 2024
Oct. 27, 2024
Oct. 29, 2023
Oct. 30, 2022
Securitization of Receivables        
Total receivables   $ 54,227.6 $ 51,344.2 $ 42,441.6
Other assets   471.5 367.5  
Securitization borrowings   8,429.3 6,995.2  
Accrued interest on borrowings - securitization transactions   13.9 12.6  
Total liabilities related to restricted securitized assets   $ 8,443.2 $ 7,007.8  
Weighted-average interest rates on short-term securitization borrowings (as a percent)   5.00% 4.70%  
Restricted cash   $ 165.1 $ 125.4 $ 104.3
Balance sheet location of restricted cash   Other assets Other assets Other assets
Short-term Securitization Borrowings        
Securitization of Receivables        
Maximum remaining term of all restricted receivables   7 years    
Payment Schedule for Securitization Borrowings Based on Expected Liquidation of Retail Notes        
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2025   $ 4,034.0    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2026   2,440.0    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2027   1,428.1    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2028   499.8    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, 2029   36.9    
Payment schedule for securitization borrowings based on expected liquidation of the retail notes, Later years   3.9    
Securitized        
Securitization of Receivables        
Other assets   186.5 $ 152.0  
Total Assets   8,907.9 7,487.4  
Restricted cash   $ 164.8 $ 125.1  
Balance sheet location of restricted cash   Other assets Other assets  
Retail notes | Securitized        
Securitization of Receivables        
Total receivables   $ 8,768.4 $ 7,356.8  
Location of liability for pledged asset   Securitization borrowings Securitization borrowings  
Allowance for credit losses   $ (47.0) $ (21.4)  
Subsequent Events | Short-term Securitization Borrowings        
Securitization of Receivables        
Securitization borrowings $ 725.2      
Bank Conduit Facilities Revolving Credit Agreement        
Securitization of Receivables        
Revolving credit agreement capacity   2,000.0    
Revolving credit agreement securitization borrowings outstanding   $ 1,398.3    
Bank Conduit Facilities Revolving Credit Agreement | Subsequent Events        
Securitization of Receivables        
Revolving credit agreement capacity $ 2,500.0      
Renewal term of revolving credit agreement 1 year