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CHARGES ASSOCIATED WITH RESTRUCTURING AND OTHER ACTIVITIES (Tables)
9 Months Ended
Mar. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule Of Restructuring And Other Charges Expected To Be Incurred
Cumulative charges for initiatives approved by the Company in connection with the Restructuring Program as of March 31, 2025 and through April 24, 2025 were:

Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Total Charges Approved
Cumulative charges approved through June 30, 2024
$— $— $109 $78 $187 
Nine months ended March 31, 202510 351 42 408 
Cumulative charges approved through March 31, 2025
10 460 120 595 
April 1, 2025 - April 24, 2025
— — 28 — 28 
Cumulative charges approved through April 24, 2025
$$10 $488 $120 $623 

Included in the above table, cumulative restructuring charges for initiatives approved by the Company in connection with the Restructuring Program as of March 31, 2025 and through April 24, 2025 were:

(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Restructuring Charges Approved
Cumulative charges approved through June 30, 2024
$93 $$— $$109 
Nine months ended March 31, 2025330 12 351 
Cumulative charges approved through March 31, 2025
423 13 21 460 
April 1, 2025 - April 24, 2025
26 — — 28 
Cumulative charges approved through April 24, 2025
$449 $13 $$23 $488 
Schedule of Total Cumulative Charges Recorded Associated With Restructuring and Other activities
Total cumulative charges recorded associated with restructuring and other activities for the Restructuring Program were:

Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Total Cumulative Charges
Cumulative charges through June 30, 2024$— $— $92 $23 $115 
Six months ended December 31, 2024— 256 23 288 
Three months ended March 31, 2025— — 81 14 95 
Cumulative charges through March 31, 2025$— $$429 $60 $498 

(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Restructuring Charges
Cumulative charges through June 30, 2024$90 $$— $— $92 
Six months ended December 31, 2024247 — 256 
Three months ended March 31, 202578 — — 81 
Cumulative charges through March 31, 2025$415 $$$$429 
Schedule of Changes in Accrued Restructuring Charges
Changes in accrued restructuring charges from the Restructuring Program for the nine months ended March 31, 2025 were:
(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Balance at June 30, 2024
$88 $— $— $— $88 
Charges325 337 
Cash payments(70)— — (2)(72)
Non-cash asset write-offs
— (7)— — (7)
Translation and other adjustments
(8)— — — (8)
Balance at March 31, 2025$335 $— $$— $338