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Debt (Tables)
9 Months Ended
Jun. 28, 2020
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The following table provides a summary of our long-term debt:
June 28, 2020September 29, 2019
MaturitiesAmount
(in millions)
Effective RateMaturitiesAmount
(in millions)
Effective Rate
May 2015 Notes
2022 - 2045
$6,500  
2.62% - 4.73%
2020 - 2045
$8,500  
2.64% - 4.73%
May 2017 Notes
2023 - 2047
7,000  
1.55% - 4.46%
2023 - 2047
7,000  
2.70% - 4.47%
May 2020 Notes
2030 - 2050
2,000  
2.31% - 3.30%
—  
Total principal15,500  15,500  
Unamortized discount, including debt issuance costs(91) (75) 
Hedge accounting fair value adjustments16   
Total long-term debt$15,425  $15,434  
Reported as:
Short-term debt$—  $1,997  
Long-term debt15,425  13,437  
   Total$15,425  $15,434