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Restructuring and Other Charges (Tables)
12 Months Ended
Jul. 26, 2025
Restructuring Charges [Abstract]  
Activities Related to Restructuring and Other Charges
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