Investments (Tables)
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9 Months Ended |
Sep. 25, 2020 |
Investments [Abstracts] |
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Unrealized Gain (Loss) on Investments |
The calculation of net unrealized gains and losses recognized during the period related to equity securities still held at the end of the period is as follows (in millions):
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Three Months Ended |
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September 25, 2020 |
September 27, 2019 |
Net gains (losses) recognized during the period related to equity securities |
$ |
17
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$ |
29 |
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Less: Net gains (losses) recognized during the period related to equity securities sold during the period |
—
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— |
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Net unrealized gains (losses) recognized during the period related to equity securities still held at the end of the period |
$ |
17
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$ |
29 |
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Nine Months Ended |
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September 25, 2020 |
September 27, 2019 |
Net gains (losses) recognized during the period related to equity securities |
$ |
(137) |
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$ |
163 |
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Less: Net gains (losses) recognized during the period related to equity securities sold during the period |
(24) |
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16 |
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Net unrealized gains (losses) recognized during the period related to equity securities still held at the end of the period |
$ |
(113) |
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$ |
147 |
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Carrying value of equity securities by balance sheet location [Table Text Block] |
The carrying values of our equity securities were included in the following line items in our condensed consolidated balance sheets (in millions):
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Fair Value with Changes Recognized in Income |
Measurement Alternative — No Readily Determinable Fair Value |
September 25, 2020 |
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Marketable securities |
$ |
296
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$ |
—
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Other investments |
662
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|
50
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Other assets |
1,097
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—
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Total equity securities |
$ |
2,055
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$ |
50
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December 31, 2019 |
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Marketable securities |
$ |
329 |
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$ |
— |
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Other investments |
772 |
|
82 |
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Other assets |
1,118 |
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— |
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Total equity securities |
$ |
2,219 |
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$ |
82 |
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Schedule of debt securities [Table Text Block] |
Our debt securities consisted of the following (in millions):
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Gross Unrealized |
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Estimated Fair Value |
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Cost |
Gains |
Losses |
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September 25, 2020 |
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Trading securities |
$ |
34
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$ |
1
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$ |
—
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$ |
35
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Available-for-sale securities |
2,611
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63
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(16) |
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2,658
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Total debt securities |
$ |
2,645
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$ |
64
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$ |
(16) |
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$ |
2,693
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December 31, 2019 |
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Trading securities |
$ |
46 |
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$ |
1 |
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$ |
— |
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$ |
47 |
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Available-for-sale securities |
3,172 |
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113 |
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(4) |
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3,281 |
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Total debt securities |
$ |
3,218 |
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$ |
114 |
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$ |
(4) |
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$ |
3,328 |
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Fair value of debt securities by balance sheet location [Table Text Block] |
The carrying values of our debt securities were included in the following line items in our condensed consolidated balance sheets (in millions):
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September 25, 2020 |
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December 31, 2019 |
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Trading Securities |
Available-for-Sale Securities |
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Trading Securities |
Available-for-Sale Securities |
Cash and cash equivalents |
$ |
—
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$ |
305
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$ |
— |
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$ |
123 |
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Marketable securities |
35
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2,065
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|
47 |
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2,852 |
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Other assets |
—
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288
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— |
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306 |
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Total debt securities |
$ |
35
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$ |
2,658
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$ |
47 |
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$ |
3,281 |
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Realized Gain (Loss) on Investments [Table Text Block] |
The sale and/or maturity of available-for-sale debt securities resulted in the following realized activity (in millions):
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Three Months Ended |
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Nine Months Ended |
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September 25, 2020 |
September 27, 2019 |
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September 25, 2020 |
September 27, 2019 |
Gross gains |
$ |
2
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$ |
9 |
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$ |
19
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$ |
37 |
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Gross losses |
(3) |
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(1) |
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(11) |
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(5) |
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Proceeds |
233
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|
1,284 |
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1,419
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3,074 |
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Contractual maturity amounts of the investment securities |
The contractual maturities of these available-for-sale debt securities as of September 25, 2020 were as follows (in millions):
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Cost |
Estimated Fair Value |
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Within 1 year |
$ |
1,186 |
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$ |
1,212 |
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After 1 year through 5 years |
1,140 |
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1,134 |
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After 5 years through 10 years |
89 |
|
102 |
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After 10 years |
196 |
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210 |
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Total |
$ |
2,611 |
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$ |
2,658 |
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