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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Nov. 01, 2025
Nov. 02, 2024
Oct. 28, 2023
Cash flows from operating activities:      
Net income $ 2,267,342 $ 1,635,273 $ 3,314,579
Adjustments to reconcile net income to net cash provided by operations:      
Depreciation 406,801 362,771 334,704
Amortization of intangibles 1,592,044 1,741,545 1,958,399
Stock-based compensation expense 321,560 262,710 299,823
Deferred income taxes (246,645) (367,563) (452,946)
Other (9,909) 23,050 8,665
Change in operating assets and liabilities:      
Accounts receivable (90,960) 133,402 330,728
Inventories (208,636) 191,170 (242,299)
Prepaid expenses and other current assets 9,107 (53,004) 4,543
Accounts payable and accrued liabilities 657,305 (133,758) (499,316)
Income taxes payable 94,303 91,648 (263,716)
Other assets 6,664 (34,521) (25,819)
Other liabilities 13,226 (194) 50,289
Total adjustments 2,544,860 2,217,256 1,503,055
Net cash provided by operating activities 4,812,202 3,852,529 4,817,634
Cash flows from investing activities:      
Purchases of short-term available-for-sale investments (1,150,240) (438,901) 0
Maturities of short-term available-for-sale investments 372,778 69,279 0
Additions to property, plant and equipment, net (533,552) (730,463) (1,261,463)
Proceeds from sale of property, plant and equipment, net 58,892 0 0
Cash received from acquisition of Maxim, net of cash paid (45,652) 0 0
Other (23,747) (4,773) (4,922)
Net cash used for investing activities (1,321,521) (1,104,858) (1,266,385)
Cash flows from financing activities:      
Proceeds from debt 1,490,785 1,087,856 0
Early termination of debt 0 0 (65,688)
Debt repayments (399,998) (499,966) 0
Proceeds from commercial paper notes 9,462,691 10,184,439 5,287,124
Payments of commercial paper notes (9,563,790) (10,183,925) (4,739,900)
Dividend payments to shareholders (1,924,413) (1,795,459) (1,679,106)
Repurchase of common stock (2,164,638) (615,590) (2,963,955)
Proceeds from employee stock plans 108,913 121,215 118,608
Other 7,833 (12,960) (20,843)
Net cash used for financing activities (2,982,617) (1,714,390) (4,063,760)
Net increase (decrease) in cash and cash equivalents 508,064 1,033,281 (512,511)
Cash and cash equivalents at beginning of year 1,991,342 958,061 1,470,572
Cash and cash equivalents at end of year $ 2,499,406 $ 1,991,342 $ 958,061