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Debt (Tables)
9 Months Ended
Jun. 03, 2021
Debt Disclosure [Abstract]  
Schedule of Debt
June 3, 2021September 3, 2020
Net Carrying AmountNet Carrying Amount
As ofStated RateEffective RateCurrentLong-TermTotalCurrentLong-TermTotal
Finance lease obligations
N/A3.62 %$144 $454 $598 $76 $410 $486 
2023 Notes2.497 %2.64 %— 1,247 1,247 — 1,245 1,245 
2024 Notes
4.640 %4.76 %— 598 598 — 598 598 
2024 Term Loan A0.975 %1.01 %— 1,186 1,186 — — — 
2026 Notes
4.975 %5.07 %— 498 498 — 498 498 
2027 Notes(1)
4.185 %4.27 %— 894 894 — 895 895 
2029 Notes
5.327 %5.40 %— 696 696 — 696 696 
2030 Notes
4.663 %4.73 %— 845 845 — 845 845 
2032D Notes
3.125 %6.33 %152 — 152 131 — 131 
MMJ Creditor PaymentsN/AN/A— — 
Extinguished 2024 Term Loan AN/AN/A— — — 62 1,186 1,248 
 
$297 $6,418 $6,715 $270 $6,373 $6,643 
(1) On April 21, 2021, we entered into fixed-to-floating interest rate swaps on the 2027 Notes with an aggregate $900 million notional amount equal to the principal amount of the 2027 Notes. The resulting variable interest paid is at a rate equal to SOFR plus approximately 3.33%.