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Debt (Tables)
12 Months Ended
Oct. 29, 2022
Debt Disclosure [Abstract]  
Schedule of debt
The Company’s debt consisted of the following as of October 29, 2022 and October 30, 2021:
October 29, 2022October 30, 2021
PrincipalUnamortized discounts, debt issuance costs and fair value adjustmentsPrincipalUnamortized discount and debt issuance costs
2024 Notes, due October 2024$500,000 $1,973 $500,000 $3,091 
2025 Notes, due April 2025400,000 2,145 400,000 3,029 
2026 Notes, due December 2026900,000 5,258 900,000 6,534 
Maxim 2027 Notes, due June 202759,788 (5,311)500,000 (51,646)
2027 Notes, due June 2027440,212 (37,182)— — 
2028 Notes, due October 2028750,000 8,795 750,000 10,419 
2031 Notes, due October 20311,000,000 12,381 1,000,000 13,956 
2032 Notes, due October 2032300,000 3,822 — — 
2036 Notes, due December 2036144,278 1,696 144,278 1,814 
2041 Notes, due October 2041750,000 12,868 750,000 13,690 
2045 Notes, due December 2045332,587 3,787 332,587 3,952 
2051 Notes, due October 20511,000,000 18,008 1,000,000 18,814 
   Total Long-Term Debt$6,576,865 $28,240 $6,276,865 $23,653 
Maxim 2023 Notes, due March 2023— — 500,000 (16,663)
    Total Current Debt$— $— $500,000 $(16,663)
Total Debt$6,576,865 $28,240 $6,776,865 $6,990