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Fair Value Measurements (Tables)
12 Months Ended
Jul. 31, 2024
Fair Value Disclosures [Abstract]  
Financial assets and liabilities measured at fair value on recurring basis
The following table summarizes financial assets and financial liabilities that we measured at fair value on a recurring basis at the dates indicated, classified in accordance with the fair value hierarchy described above.
 At July 31, 2024At July 31, 2023
(In millions)Level 1Level 2Total
Fair Value
Level 1Level 2Total
Fair Value
Assets:      
Cash equivalents, primarily money market funds$2,538 $— $2,538 $1,888 $— $1,888 
Available-for-sale debt securities:    
Corporate notes— 456 456 — 805 805 
U.S. agency securities— 159 159 — 209 209 
Total available-for-sale debt securities— 615 615 — 1,014 1,014 
Total assets measured at fair value on a recurring basis$2,538 $615 $3,153 $1,888 $1,014 $2,902 
Liabilities:
Senior unsecured notes(1)
$— $5,467 $5,467 $— $1,309 $1,309 
(1) Carrying values on our consolidated balance sheets were $5.45 billion and $1.49 billion at July 31, 2024 and July 31, 2023, respectively. See Note 8, “Debt” for more information.
Cash equivalents and available-for-sale debt and equity securities by balance sheet classification and level in the fair value hierarchy
The following table summarizes our cash equivalents and available-for-sale debt securities by balance sheet classification and level in the fair value hierarchy at the dates indicated:
 At July 31, 2024At July 31, 2023
(In millions)Level 1Level 2Total
Fair Value
Level 1Level 2Total
Fair Value
Cash equivalents:      
In cash and cash equivalents$2,538 $— $2,538 $1,888 $— $1,888 
Available-for-sale debt securities:      
In investments$— $465 $465 $— $814 $814 
In funds receivable and amounts held for customers— 150 150 — 200 200 
Total available-for-sale debt securities$— $615 $615 $— $1,014 $1,014