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Fair Value (Tables)
6 Months Ended
Jan. 27, 2024
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
Assets and liabilities measured at fair value on a recurring basis were as follows (in millions):
 JANUARY 27, 2024JULY 29, 2023
FAIR VALUE MEASUREMENTSFAIR VALUE MEASUREMENTS
 Level 1Level 2Total
Balance
Level 1Level 2Total
Balance
Assets:
Cash equivalents:
Money market funds$10,103 $— $10,103 $6,496 $— $6,496 
Commercial paper— 1,023 1,023 — 1,090 1,090 
Certificates of deposit— — 47 47 
Corporate debt securities— 30 30 — 25 25 
Non-U.S. government and agency securities— — — — 
Available-for-sale debt investments:
U.S. government securities— 2,397 2,397 — 3,526 3,526 
U.S. government agency securities— 352 352 — 423 423 
Non-U.S. government and agency securities— 364 364 — 363 363 
Corporate debt securities— 5,140 5,140 — 6,914 6,914 
U.S. agency mortgage-backed securities— 1,931 1,931 — 2,205 2,205 
Commercial paper— 828 828 — 1,484 1,484 
Certificates of deposit— 518 518 — 677 677 
Equity investments:
Marketable equity securities426 — 426 431 — 431 
Other current assets:
Money market funds563 — 563 188 — 188 
Other assets:
Money market funds938 — 938 1,313 — 1,313 
Derivative assets— 50 50 — 32 32 
Total$12,030 $12,642 $24,672 $8,428 $16,786 $25,214 
Liabilities:
Derivative liabilities$— $70 $70 $— $75 $75 
Total$— $70 $70 $— $75 $75