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Restructuring and Other Charges
12 Months Ended
Jul. 26, 2025
Restructuring Charges [Abstract]  
Restructuring and Other Charges Restructuring and Other Charges
In the first quarter of fiscal 2025, we announced a restructuring plan (the “Fiscal 2025 Plan”), in order to allow us to invest in key growth opportunities and drive more efficiencies in our business. The Fiscal 2025 Plan is expected to impact approximately 7% of our global workforce, with estimated pre-tax charges of up to $1 billion consisting of severance and other one-time termination benefits, and other costs. In connection with the Fiscal 2025 Plan, we incurred charges of $744 million in fiscal 2025 and the plan is expected to be substantially completed in the second quarter of fiscal 2026. The aggregate pre-tax charges are primarily cash-based and consist of severance and other one-time termination benefits, and other costs.
We initiated a restructuring plan in fiscal 2024 (the “Fiscal 2024 Plan”), in order to realign the organization and enable further investment in key priority areas. In connection with the Fiscal 2024 Plan, we incurred cumulative charges of $654 million and the plan is complete. The aggregate pretax charges related to this plan were primarily cash-based and consist of severance and other one-time termination benefits and other costs.
We initiated a restructuring plan in fiscal 2023 (the “Fiscal 2023 Plan”), which was completed in fiscal 2024. In connection with the Fiscal 2023 Plan, we incurred cumulative charges of $670 million and the plan is complete. The aggregate pretax charges related to this plan were primarily cash-based and consist of severance and other one-time termination benefits, real estate-related charges, and other costs.
The following table summarizes the activities related to our restructuring liability, which is included in other current liabilities on our Consolidated Balance Sheets (in millions):
FISCAL 2025 PLANFISCAL 2024 AND
PRIOR PLANS
Employee SeveranceOtherEmployee
Severance
OtherTotal
Liability as of July 30, 2022$— $— $$$
Charges — — 465 66 531 
Cash payments— — (302)(12)(314)
Non-cash items— — (15)(13)
Liability as of July 29, 2023— — 167 46 213 
Charges — — 731 58 789 
Cash payments— — (677)(14)(691)
Non-cash items— — — (37)(37)
Liability as of July 27, 2024  221 53 274 
Charges617 127   744 
Cash payments(582)(9)(170)(9)(770)
Non-cash items31 (72)(29)(31)(101)
Liability as of July 26, 2025$66 $46 $22 $13 $147