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Acquisitions and Dispositions, RPC Group Plc (Details)
$ in Millions
1 Months Ended 3 Months Ended 6 Months Ended
Jul. 31, 2019
USD ($)
Country
Site
Mar. 28, 2020
USD ($)
Mar. 30, 2019
USD ($)
Mar. 28, 2020
USD ($)
Mar. 30, 2019
USD ($)
RPC Group Plc [Abstract]          
Net sales   $ 2,975 $ 1,950 $ 5,791 $ 3,922
Operating income   284 185 483 361
First Priority Senior Secured Notes due July 2026 [Member]          
RPC Group Plc [Abstract]          
Face amount of debt issued $ 1,250        
Second Priority Senior Secured Notes due July 2027 [Member]          
RPC Group Plc [Abstract]          
Face amount of debt issued $ 500        
RPC [Member]          
RPC Group Plc [Abstract]          
Number of operating sites | Site 189        
Number of countries where operating sites are located | Country 34        
Net sales   1,174   2,256  
Operating income   81   135  
Remeasurement Adjustments [Abstract]          
Property, plant, and equipment   (211)      
Intangible assets   (47)      
Inventory   19      
Deferred tax liabilities   (89)      
Consideration [Abstract]          
Cash consideration transferred $ 6,079        
Identifiable Assets Acquired and Liabilities Assumed [Abstract]          
Working capital [1]   721   721  
Property and equipment   2,164   2,164  
Intangible assets   1,665   1,665  
Other assets   4   4  
Other long-term liabilities   (837)   (837)  
Goodwill   2,362   2,362  
Net assets acquired   6,079   6,079  
Step up of inventory to fair value   58   58  
Pro Forma Information [Abstract]          
Pro forma net sales     3,100   6,300
Pro forma net income     $ 61   $ 169
RPC [Member] | Consumer Packaging International [Member]          
RPC Group Plc [Abstract]          
Net sales   1,045   2,006  
Operating income   $ 65   $ 107  
[1] Includes a $58 million step up of inventory to fair value