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Fair Value Measurements (Tables)
3 Months Ended
Jun. 28, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value and Carrying Value of Assets
 
Fair value at June 28, 2025 using:
Fair value at March 29, 2025 using:
 Quoted prices in
active markets for
identical assets
(Level 1)
Significant
other observable
inputs
(Level 2)
Significant
unobservable
inputs
(Level 3)
Quoted prices in
active markets for
identical assets
(Level 1)
Significant
other observable
inputs
(Level 2)
Significant
unobservable
inputs
(Level 3)
Derivative liabilities:
Forward foreign currency exchange contracts
$— $$— $— $$— 
Net investment hedges— 874 — — 289 — 
Total derivative liabilities$— $880 $— $— $291 $— 
Schedule of Fair Value Measurement of Long-term Debt The following table summarizes the carrying values and estimated fair values of the Company’s debt, based on Level 2 measurements (in millions):
June 28, 2025March 29, 2025
Carrying
Value
Estimated
Fair Value
Carrying
Value
Estimated
Fair Value
Revolving Credit Facilities$912 $912 $755 $755 
2025 Term Loans$732 $730 $706 $699