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Debt (Tables)
9 Months Ended
May 30, 2019
Debt Disclosure [Abstract]  
Schedule of Debt
As of
 
May 30, 2019
 
August 30, 2018
 
 
 
 
 
 
Net Carrying Amount
 
Net Carrying Amount
Instrument
 
Stated Rate
 
Effective Rate
 
Current
 
Long-Term
 
Total
 
Current
 
Long-Term
 
Total
IMFT Member Debt(1)
 
N/A

 
N/A

 
$
858

 
$

 
$
858

 
$

 
$
1,009

 
$
1,009

Capital lease obligations
 
N/A

 
4.20
%
 
233

 
415

 
648

 
310

 
536

 
846

MMJ Creditor Payments
 
N/A

 
9.76
%
 
187

 

 
187

 
309

 
183

 
492

2022 Term Loan B
 
4.24
%
 
4.65
%
 
5

 
716

 
721

 
5

 
720

 
725

2024 Notes
 
4.64
%
 
4.76
%
 

 
597

 
597

 

 

 

2025 Notes
 
5.50
%
 
5.56
%
 

 
516

 
516

 

 
515

 
515

2026 Notes
 
4.98
%
 
5.07
%
 

 
497

 
497

 

 

 

2029 Notes
 
5.33
%
 
5.40
%
 

 
696

 
696

 

 

 

2032D Notes
 
3.13
%
 
6.33
%
 

 
126

 
126

 

 
132

 
132

2033F Notes
 
2.13
%
 
4.93
%
 
63

 

 
63

 
235

 

 
235

2043G Notes
 
3.00
%
 
6.76
%
 

 

 

 

 
682

 
682

 
 
 
 
 
 
$
1,346

 
$
3,563

 
$
4,909

 
$
859

 
$
3,777

 
$
4,636


(1) 
IMFT Member Debt was classified as current as of May 30, 2019 as a result of exercising our option to acquire Intel's interest in IMFT.

Schedule of Debt Conversions, Settlements, and Issuances
The following table presents the effects of conversions, settlements, and issuance of debt in the first nine months of 2019:
Nine months ended May 30, 2019
 
Increase (Decrease) in Principal
 
Increase (Decrease) in Carrying Value
 
Increase (Decrease) in Cash
 
Decrease in Equity
 
Gain (Loss)
Settled conversions
 
 
 
 
 
 
 
 
 
 
2032D Notes
 
$
(10
)
 
$
(9
)
 
$
(35
)
 
$
(28
)
 
$
2

2033F Notes
 
(43
)
 
(173
)
 
(184
)
 
(23
)
 
12

2043G Notes
 
(1,019
)
 
(691
)
 
(1,426
)
 
(326
)
 
(400
)
Issuances
 
 
 
 
 
 
 
 
 
 
2024 Notes
 
600

 
597

 
597

 

 

2026 Notes
 
500

 
497

 
497

 

 

2029 Notes
 
700

 
695

 
695

 

 

 
 
$
728

 
$
916

 
$
144

 
$
(377
)
 
$
(386
)