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Fair Value Measurements (Tables)
9 Months Ended
Jun. 26, 2011
Notes to Financial Statements [Abstract]  
Fair value hierarchy for assets and liabilities measured at fair value on a recurring basis
The following table presents the Company’s fair value hierarchy for assets and liabilities measured at fair value on a recurring basis at June 26, 2011 (in millions):
 
Level 1
 
Level 2
 
Level 3
 
Total
Assets
 
 
 
 
 
 
 
Cash equivalents
$
2,520


 
$
2,489


 
$


 
$
5,009


Marketable securities
 
 
 
 
 
 
 
U.S. Treasury securities and government-related securities
15


 
198


 


 
213


Corporate bonds and notes


 
5,068


 


 
5,068


Mortgage- and asset-backed securities


 
656


 
9


 
665


Auction rate securities


 


 
126


 
126


Non-investment-grade debt securities


 
3,606


 
12


 
3,618


Common and preferred stock
1,186


 
766


 


 
1,952


Equity mutual and exchange-traded funds
1,021


 


 


 
1,021


Debt mutual funds
1,327


 
485


 


 
1,812


Total marketable securities
3,549


 
10,779


 
147


 
14,475


Derivative instruments


 
19


 


 
19


Other investments (1)
162


 


 


 
162


Total assets measured at fair value
$
6,231


 
$
13,287


 
$
147


 
$
19,665


Liabilities
 
 
 
 
 
 
 
Derivative instruments
$


 
$
23


 
$


 
$
23


Other liabilities (1)
162


 


 
8


 
170


Total liabilities measured at fair value
$
162


 
$
23


 
$
8


 
$
193




(1) Level 1 measurements are comprised of the Company’s deferred compensation plan liability and related assets, which are invested in mutual funds.
Activity for marketable securities classified within Level 3 of the valuation hierarchy
The following table includes the activity for marketable securities and other liabilities classified within Level 3 of the valuation hierarchy (in millions):
 
Nine Months Ended June 26, 2011
 
Auction Rate
Securities
 
Other Marketable
Securities
 
Other Liabilities
Beginning balance of Level 3
$
126


 
$
18


 
$
8


Total realized and unrealized gains:
 
 
 
 
 
Included in investment income, net


 
1


 


Included in other comprehensive income
2


 


 


Purchases
4


 


 


Settlements
(6
)
 
(4
)
 


Transfers into Level 3


 
6


 


Ending balance of Level 3
$
126


 
$
21


 
$
8


 
Nine Months Ended June 27, 2010
 
Auction Rate
Securities
 
Other Marketable
Securities
Beginning balance of Level 3
$
174


 
$
31


Total realized and unrealized gains (losses):
 
 
 
Included in investment income, net


 
5


Included in other comprehensive loss
3


 
(2
)
Settlements
(6
)
 
(19
)
Transfers into Level 3


 
4


Ending balance of Level 3
$
171


 
$
19