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Debt - Activity (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Aug. 18, 2025
May 27, 2025
Apr. 29, 2025
Feb. 12, 2025
Jan. 17, 2025
Jan. 16, 2025
May 29, 2025
Aug. 28, 2025
Aug. 29, 2024
Aug. 31, 2023
Feb. 27, 2025
Debt instrument                      
Increase (decrease) in principal               $ 197      
Increase (decrease) in carrying value               226      
Increase (decrease) in cash               164      
Loss on debt prepayments               (59) $ (1) $ 0  
Interest rate swap | Fair value hedges | Designated hedging instruments                      
Debt instrument                      
Notional or contractual amount                 $ 900   $ 900
2035 A Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal           $ 1,000          
Increase (decrease) in carrying value           992          
Increase in cash - Issuances           $ 992          
2029 Term Loan A | Term loan                      
Debt instrument                      
Increase (decrease) in principal $ (700)                    
Increase (decrease) in carrying value (699)                    
Decrease in cash - Prepayments $ (700)                    
2029 Term Loan A | Term loan                      
Debt instrument                      
Increase (decrease) in principal         $ 1,684            
Increase (decrease) in carrying value         1,681            
Increase in cash - Issuances         1,681            
2032 Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal     $ 500                
Increase (decrease) in carrying value     496                
Increase in cash - Issuances     496                
2035 B Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal     1,250                
Increase (decrease) in carrying value     1,241                
Increase in cash - Issuances     $ 1,241                
2026 Term Loan A | Term loan                      
Debt instrument                      
Increase (decrease) in principal         (897)            
Increase (decrease) in carrying value         (896)            
Decrease in cash - Prepayments         (897)            
2027 Term Loan A | Term loan                      
Debt instrument                      
Increase (decrease) in principal         (1,037)            
Increase (decrease) in carrying value         (1,035)            
Decrease in cash - Prepayments         $ (1,037)            
2026 Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal       $ (500)              
Increase (decrease) in carrying value       (499)              
Decrease in cash - Prepayments       $ (501)              
2027 Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal   $ (900)                  
Increase (decrease) in carrying value   (854)                  
Decrease in cash - Prepayments   $ (900)                  
Loss on debt prepayments             $ (46)        
2028 Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal               (58)      
Increase (decrease) in carrying value               (57)      
Decrease in cash - Prepayments               (59)      
2029 B Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal               (91)      
Increase (decrease) in carrying value               (91)      
Decrease in cash - Prepayments               (98)      
2030 Notes | Corporate bonds                      
Debt instrument                      
Increase (decrease) in principal               (54)      
Increase (decrease) in carrying value               (53)      
Decrease in cash - Prepayments               $ (54)