XML 73 R35.htm IDEA: XBRL DOCUMENT v3.25.0.1
INVESTMENTS (Tables)
12 Months Ended
Dec. 28, 2024
INVESTMENTS  
Schedule of marketable debt securities

U.S. dollars in millions

    

December 28, 2024

Reported as

    

Amortized cost

    

Unrealized gain

    

Unrealized loss

    

Fair value

    

Cash and cash equivalents

    

Other current assets

U.S. government bonds

$

33

$

$

$

33

$

$

33

Money market funds

 

951

 

 

 

951

 

951

 

Total

$

984

$

$

$

984

$

951

$

33

U.S. dollars in millions

    

December 30, 2023

Reported as

    

Amortized cost

    

Unrealized gain

    

Unrealized loss

    

Fair value

    

Cash and cash equivalents

    

Other current assets

Money market funds

 

932

 

 

 

932

 

932

 

Total

$

932

$

$

$

932

$

932

$