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EMPLOYEE BENEFIT PLANS (Tables)
12 Months Ended
Jun. 30, 2014
EMPLOYEE BENEFIT PLANS [Abstract]  
Changes in Projected Benefit Obligations, Fair Value of Plan Assets, and Funded Status of Plan
    Retirement
Income
  Retirement
Health Care
    2014   2013   2014   2013
Change in benefit obligations:                                
Projected benefit obligation at beginning of year   $ 612     $ 646     $ 51     $ 63  
       Service cost     3       4       1       1  
       Interest cost     27       24       2       2  
       Actuarial (gain) loss     47       (27 )     (2 )     (9 )
       Plan amendments     -       -       (2 )     (5 )
       Translation and other adjustment     (6 )     -       -       -  
       Benefits paid     (42 )     (35 )     (1 )     (1 )
       Projected benefit obligation at end of year     641       612       49       51  
                                 
Change in plan assets:                                
       Fair value of assets at beginning of year     408       394       -       -  
       Actual return on plan assets     51       37       -       -  
       Employer contributions to nonqualified plans     15       12       1       1  
       Benefits paid     (42 )     (35 )     (1 )     (1 )
Fair value of plan assets at end of year     432       408       -       -  
Accrued benefit cost, net funded status   $ (209 )   $ (204 )   $ (49 )   $ (51 )
Schedule of Amounts Recognized in the Balance Sheets
    Retirement
Income
  Retirement
Health Care
    2014   2013   2014   2013
Amount recognized in the balance sheets consists of:                                
       Pension benefit assets   $ 2     $ -     $ -     $ -  
       Current accrued benefit liability   $ (14 )   $ (17 )   $ (4 )   $ (4 )
       Non-current accrued benefit liability     (197 )     (187 )     (45 )     (47 )
       Accrued benefit cost, net   $ (209 )   $ (204 )   $ (49 )   $ (51 )
Schedule of Accumulated Benefit Obligations in Excess of Plan Assets
      Pension Plans   Other
Retirement Plans
      2014   2013   2014   2013
Projected benefit obligation     $ 538     $ 529     $ 78     $ 80  
Accumulated benefit obligation       538       528       78       80  
Fair value of plan assets       405       405       -       -  
Schedule of Components of Net Periodic Benefit Cost
    Retirement Income   Retirement Health Care
    2014   2013   2012   2014   2013   2012
Service cost   $ 3     $ 4     $ -     $ 1     $ 1     $ 1  
Interest cost     27       24       29       2       2       3  
Expected return on plan assets     (25 )     (29 )     (31 )     -       -       -  
Amortization of unrecognized items     11       12       8       (4 )     (2 )     (3 )
Total   $ 16     $ 11     $ 6     $ (1 )   $ 1     $ 1  
Schedule of Items Not Yet Recognized as a Component of Postretirement Expense
    Retirement
Income
  Retirement
Health Care
Net actuarial loss (gain)   $ 247     $ (29 )
Prior service cost (benefit)     1       (9 )
Net deferred income tax (assets) liabilities     (92 )     14  
Accumulated other comprehensive loss (income)   $ 156     $ (24 )
Summary of Amounts Recognized in Accumulated Other Comprehensive Net Losses
    Retirement
Income
  Retirement
Health Care
Net actuarial loss (gain) at beginning of year   $ 239     $ (29 )
Amortization during the year     (11 )     2  
Loss (gain) during the year     19       (2 )
Net actuarial loss (gain) at end of year   $ 247     $ (29 )
Schedule of Weighted Average Assumptions Used
    Retirement Income   Retirement Health Care
    2014   2013   2014   2013
Discount rate   4.05 %   4.39 %   4.00 %   4.33 %
Rate of compensation increase   4.46 %   3.44 %   n/a     n/a  
    Retirement Income
    2014   2013   2012
Discount rate   4.39 %   3.87 %   5.31 %
Rate of compensation increase   3.44 %   3.71 %   3.93 %
Expected return on plan assets   6.61 %   7.50 %   8.12 %
 
    Retirement Health Care
    2014   2013   2012
Discount rate   4.33 %   3.86 %   5.29 %
Schedule of Expected Benefit Payments
      Retirement
Income
  Retirement
Health Care
2015     $ 38     $ 4  
2016       39       4  
2017       40       3  
2018       41       3  
2019       39       3  
Fiscal years 2020 through 2024       196       13  
Schedule of Target Weighted Average Asset Allocations
    % Target Allocation   % of Plan Assets
    2014   2013   2014   2013
                         
U.S. equity   11 %   20 %   11 %   20 %
International equity   12     21     12     21  
Fixed income   74     54     74     54  
Other   3     5     3     5  
Total   100 %   100 %   100 %   100 %
Schedule of Plan Assets Carried at Fair Value

 

        2014
        Level 1     Level 2   Total
Cash equivalents       $ 3     $ -     $ 3  
Common collective trusts                            
       Bond funds         -       309       309  
       International equity funds         -       64       64  
       Domestic equity funds         -       44       44  
       Real Estate fund         -       12       12  
Total common collective trusts         -       429       429  
Total assets at fair value       $ 3     $ 429     $ 432  
         
        2013
          Level 1       Level 2       Total  
Cash equivalents       $ 3     $ -     $ 3  
Common collective trusts                            
       Bond funds         -       217       217  
       International equity funds         -       93       93  
       Domestic equity funds         -       77       77  
       Real Estate fund         -       18       18  
Total common collective trusts         -       405       405  
Total assets at fair value       $ 3     $ 405     $ 408