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Fair value of financial instruments - Fair value on recurring basis (Detail)
$ in Thousands, $ in Millions
Dec. 24, 2021
USD ($)
Dec. 24, 2021
CAD ($)
Jun. 25, 2021
USD ($)
Jun. 25, 2021
CAD ($)
Foreign currency forward contracts        
Liabilities        
Derivative assets, notional amount $ 108,000 $ 0.4 $ 2,000  
Derivative liabilities, notional amount     128,000 $ 0.4
Fair value, measurements, recurring        
Assets        
Derivative assets – current portion 177   1  
Total 284,486   314,769  
Liabilities        
Derivative liabilities – current portion (4,206)   (5,654)  
Derivative liabilities – non-current portion (1,055)   (1,977)  
Total (5,261)   (7,631)  
Fair value, measurements, recurring | Interest rate swaps        
Liabilities        
Derivative liabilities, notional amount     125,100  
Fair value, measurements, recurring | Cash equivalents        
Assets        
Marketable securities 40,970   80,305  
Fair value, measurements, recurring | Liquidity funds        
Assets        
Marketable securities 31,329   31,226  
Fair value, measurements, recurring | Corporate debt securities        
Assets        
Marketable securities 193,000   171,790  
Fair value, measurements, recurring | U.S. agency and U.S. treasury securities        
Assets        
Marketable securities 19,010   31,447  
Level 1 | Fair value, measurements, recurring        
Assets        
Derivative assets – current portion 0   0  
Total 0   0  
Liabilities        
Derivative liabilities – current portion 0   0  
Derivative liabilities – non-current portion 0   0  
Total 0   0  
Level 1 | Fair value, measurements, recurring | Cash equivalents        
Assets        
Marketable securities 0   0  
Level 1 | Fair value, measurements, recurring | Liquidity funds        
Assets        
Marketable securities 0   0  
Level 1 | Fair value, measurements, recurring | Corporate debt securities        
Assets        
Marketable securities 0   0  
Level 1 | Fair value, measurements, recurring | U.S. agency and U.S. treasury securities        
Assets        
Marketable securities 0   0  
Level 2 | Foreign currency forward contracts        
Liabilities        
Derivative assets, notional amount 27,000      
Level 2 | Fair value, measurements, recurring        
Assets        
Derivative assets – current portion 177   1  
Total 284,486   314,769  
Liabilities        
Derivative liabilities – current portion (4,206)   (5,654)  
Derivative liabilities – non-current portion (1,055)   (1,977)  
Total (5,261)   (7,631)  
Level 2 | Fair value, measurements, recurring | Cash equivalents        
Assets        
Marketable securities 40,970   80,305  
Level 2 | Fair value, measurements, recurring | Liquidity funds        
Assets        
Marketable securities 31,329   31,226  
Level 2 | Fair value, measurements, recurring | Corporate debt securities        
Assets        
Marketable securities 193,000   171,790  
Level 2 | Fair value, measurements, recurring | U.S. agency and U.S. treasury securities        
Assets        
Marketable securities 19,010   31,447  
Level 3 | Fair value, measurements, recurring        
Assets        
Derivative assets – current portion 0   0  
Total 0   0  
Liabilities        
Derivative liabilities – current portion 0   0  
Derivative liabilities – non-current portion 0   0  
Total 0   0  
Level 3 | Fair value, measurements, recurring | Cash equivalents        
Assets        
Marketable securities 0   0  
Level 3 | Fair value, measurements, recurring | Liquidity funds        
Assets        
Marketable securities 0   0  
Level 3 | Fair value, measurements, recurring | Corporate debt securities        
Assets        
Marketable securities 0   0  
Level 3 | Fair value, measurements, recurring | U.S. agency and U.S. treasury securities        
Assets        
Marketable securities $ 0   $ 0