Quarterly report pursuant to Section 13 or 15(d)

Debt (Tables)

v3.20.2
Debt (Tables)
9 Months Ended
Jun. 28, 2020
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The following table provides a summary of our long-term debt:
June 28, 2020 September 29, 2019
Maturities Amount
(in millions)
Effective Rate Maturities Amount
(in millions)
Effective Rate
May 2015 Notes
2022 - 2045
$ 6,500   
2.62% - 4.73%
2020 - 2045
$ 8,500   
2.64% - 4.73%
May 2017 Notes
2023 - 2047
7,000   
1.55% - 4.46%
2023 - 2047
7,000   
2.70% - 4.47%
May 2020 Notes
2030 - 2050
2,000   
2.31% - 3.30%
—   
Total principal 15,500    15,500   
Unamortized discount, including debt issuance costs (91)   (75)  
Hedge accounting fair value adjustments 16     
Total long-term debt $ 15,425    $ 15,434   
Reported as:
Short-term debt $ —    $ 1,997   
Long-term debt 15,425    13,437   
   Total $ 15,425    $ 15,434