v3.26.1
Supplemental Balance Sheet Information - Schedules (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 28, 2026
Mar. 29, 2025
Dec. 27, 2025
Inventories      
Raw materials $ 752   $ 909
Work in process 4,748   4,768
Finished goods 2,545   2,243
Inventories, Total 8,045   7,920
Property and Equipment, Net      
Land, building and leasehold improvements 1,034   967
Equipment 3,795   3,453
Construction in progress 646   508
Property and equipment, gross 5,475   4,928
Accumulated depreciation (2,752)   (2,616)
Total property and equipment, net 2,723   2,312
Accrued Liabilities      
Customer-related liabilities 1,732   1,194
Accrued marketing programs 1,648   1,454
Accrued compensation and benefits 1,280   1,645
Other accrued expenses and liabilities 1,125   957
Total accrued liabilities $ 5,785   $ 5,250
Transferred over Time      
Revenue, Remaining Performance Obligation, Expected Timing of Satisfaction [Line Items]      
Percentage of Revenue to Total Revenue 4.00% 9.00%