v2.4.0.6
DERIVATIVE INSTRUMENTS (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Oct. 31, 2012
Oct. 31, 2011
DERIVATIVE INSTRUMENTS    
Fair value of derivatives with credit-risk-related contingent features in a liability position $ 32 $ 23
Reduction in maximum loss if derivative counterparties fail to meet obligations - collateral received 102 25
Reduction in maximum loss if derivative counterparties fail to meet obligations - netting provisions 92 59
Cash Flow Hedges    
Cash flow hedge loss recorded in OCI to be reclassified within twelve months 10  
Maximum maturity of cash flow hedge interest rate and cross-currency interest rate contracts 71 months  
Derivative Instruments
   
Derivative instruments    
Maximum loss if derivative counterparties fail to meet obligations 637 485
Interest Rate Contracts
   
Cash Flow Hedges    
Notional amount of cash flow hedge derivatives 2,850 1,350
Gain (Loss) on Fair Value Hedges    
Gains (losses) on interest rate contracts 180 16
Net accrued interest income on interest rate contracts 155 172
Gains (losses) on borrowings (182) (21)
Accrued interest expense on borrowings 282 277
Fair Value Hedges    
Notional amount of interest rate fair value hedge derivatives 9,266 7,730
Gain (loss) on ineffective portion of interest rate fair value hedge derivatives (2) (5)
Cross-Currency Interest Rate Contracts
   
Cash Flow Hedges    
Notional amount of cash flow hedge derivatives $ 923 $ 853