XML 34 R24.htm IDEA: XBRL DOCUMENT v3.3.1.900
Fair Value Measurements (Tables)
3 Months Ended
Mar. 25, 2016
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Investment Assets
The Company's investment assets are carried at fair value on the consolidated balance sheets as summarized in the table below. Additionally, the amortized cost basis of these investments was $455 million and $920 million as of March 25, 2016 and December 25, 2015, respectively.

NOTE 9.    Fair Value Measurements, continued

 
March 25,
2016
 
December 25,
2015
(Dollars in Millions)
Level 1
Level 2
Level 3
Total
 
Level 1
Level 2
Level 3
Total
Certificates of Deposit and Commercial Paper
$

$
375

$

$
375

 
$

$
810

$

$
810

Corporate Bonds

60


60

 

73


73

Government Securities

16


16

 

32


32

Auction Rate Securities


4

4

 


4

4

Total investments at fair value
$

$
451

$
4

$
455

 
$

$
915

$
4

$
919



Schedule of Investment Maturities
These investments have the following maturities:
(Dollars in millions)
March 25,
2016
 
December 25,
2015
Less than 1 year
$
375

 
$
810

1 - 2 years
3

 
9

2 - 5 years
12

 
27

Greater than 5 years
65

 
73

Total
$
455

 
$
919

Schedule of Fair Value and Carrying Value of Long-Term Debt
The fair value and carrying value of the Company's long-term debt is as follows:
(Dollars in millions)
March 25,
2016
 
December 25, 2015
Long-term Debt (Including Current Maturities):
 
 
 
Fair Value
$
11,496

 
$
11,340

Carrying Value
10,536

 
10,535