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Fair Value Measurements (Tables)
6 Months Ended
Sep. 27, 2025
Fair Value Disclosures [Abstract]  
Fair value of financial assets and liabilities measured and recorded at fair value on recurring basis
The following table summarizes the Company's financial assets and liabilities that are measured and recorded at fair value on a recurring basis, excluding accrued interest components:
September 27,
2025
March 29,
2025
 (millions)
Derivative assets(a)
$1.9 $30.9 
Derivative liabilities(a)
42.1 10.1 
(a)Based on Level 2 measurements.
Carrying value and the estimated fair value of the Company's debt obligations
The following table summarizes the carrying values and the estimated fair values of the Company's debt instruments:
 September 27, 2025March 29, 2025
 
Carrying Value(a)
Fair Value(b)
Carrying Value(a)
Fair Value(b)
 (millions)
$400 million 3.750% Senior Notes$— $— $399.7 $398.4 
$750 million 2.950% Senior Notes743.6 707.3 742.9 690.8 
$500 million 5.000% Senior Notes494.1 511.1 — — 
 
(a)See Note 9 for discussion of the carrying values of the Company's senior notes.
(b)Based on Level 2 measurements.