XML 60 R37.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Debt (Tables)
12 Months Ended
Jul. 31, 2024
Debt Disclosure [Abstract]  
Carrying value of debt
The carrying value of our debt was as follows at the dates indicated:
 July 31,July 31,Effective
(Dollars in millions)
20242023Interest Rate
Senior unsecured notes issued June 2020:
0.950% notes due July 2025
$500 $500 1.127%
1.350% notes due July 2027
500 500 1.486%
1.650% notes due July 2030
500 500 1.767%
Senior unsecured notes issued September 2023:
5.250% notes due September 2026
750 — 5.325%
5.125% notes due September 2028
750 — 5.258%
5.200% notes due September 2033
1,250 — 5.312%
5.500% notes due September 2053
1,250 — 5.576%
Term loan— 4,200 
Secured revolving credit facilities585 430 
Total principal balance of debt6,085 6,130 
Unamortized discount and debt issuance costs(47)(10)
Net carrying value of debt$6,038 $6,120 
Short-term debt$499 $— 
Long-term debt$5,539 $6,120 
Future principal payments for long-term debt
Future principal payments for debt at July 31, 2024 were as shown in the table below.
(In millions)
Fiscal year ending July 31,
2025$500 
2026— 
20271,835 
2028— 
2029750 
Thereafter3,000 
Total future principal payments for debt$6,085