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Long-Term Debt (Tables)
6 Months Ended
Mar. 28, 2020
Long-Term Debt [Abstract]  
Long-Term Debt
Long-term debt consists of the following:

Facility
Maturity Date
 
March 28, 2020
   
September 28, 2019
 
Term loan
October 2022
 
$
1,545
   
$
1,545
 
Term loan
January 2024
   
451
     
489
 
Term loan
July 2026
   
4,229
     
4,250
 
Term loan(a)
July 2026
   
     
1,176
 
Revolving line of credit
May 2024
   
     
 
5.50% Second Priority Senior Secured Notes
May 2022
   
500
     
500
 
6.00% Second Priority Senior Secured Notes
October 2022
   
200
     
400
 
5.125% Second Priority Senior Secured Notes
July 2023
   
700
     
700
 
1.00% First Priority Senior Secured Notes(a)
July 2025
   
779
     
 
4.50% Second Priority Senior Secured Notes
February 2026
   
500
     
500
 
4.875% First Priority Senior Secured Notes
July 2026
   
1,250
     
1,250
 
5.625% Second Priority Senior Secured Notes
July 2027
   
500
     
500
 
1.50% First Priority Senior Secured Notes(a)
July 2027
   
417
     
 
Debt discounts and deferred fees
     
(98
)
   
(112
)
Finance leases and other
Various
   
142
     
167
 
Total long-term debt
     
11,115
     
11,365
 
Current portion of long-term debt
     
(72
)
   
(104
)
Long-term debt, less current portion
   
$
11,043
     
11,261
 

(a)  Euro denominated