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Debt (Tables)
3 Months Ended
Oct. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
The carrying value of our debt was as follows at the dates indicated:
(Dollars in millions)
October 31,
2024
July 31,
2024
Effective
Interest 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
750 750 5.325%
5.125% notes due September 2028
750 750 5.258%
5.200% notes due September 2033
1,250 1,250 5.312%
5.500% notes due September 2053
1,250 1,250 5.576%
Secured revolving credit facilities670 585 
Total principal balance of debt6,170 6,085 
Unamortized discount and debt issuance costs(46)(47)
Net carrying value of debt$6,124 $6,038 
Short-term debt$499 $499 
Long-term debt$5,625 $5,539 
Schedule of Maturities of Long-Term Debt
Future principal payments for debt at October 31, 2024 were as shown in the table below.
(In millions)
Future Principal Payments
Fiscal year ending July 31, 
2025 (excluding the three months ended October 31, 2024)$500 
2026— 
20271,550 
2028— 
20291,120 
Thereafter3,000 
Total future principal payments for debt$6,170