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Commitments and Contingencies (Tables)
12 Months Ended
Jun. 24, 2018
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Contractual Cash Obligations Relating to Existing Capital Leases
The Company’s contractual cash obligations relating to its existing capital leases, including interest, as of June 24, 2018, were as follows:
Payments Due by Fiscal Year:
Capital
Leases
 
(in thousands)
2019
$
3,948

2020
4,491

2021
4,854

2022
8,765

2023
4,351

Thereafter
37,707

Total
64,116

Interest on capital leases
16,272

Current portion of capital leases
1,498

Long-term portion of capital leases
$
46,346

Schedule of Contractual Cash Obligations Relating to Operating Leases
The Company’s contractual cash obligations with respect to operating leases, excluding the residual value guarantees discussed above, as of June 24, 2018, were as follows:
Payments Due by Fiscal Year:
Operating
Leases
 
(in thousands)
2019
$
22,117

2020
18,672

2021
13,963

2022
4,879

2023
3,677

Thereafter
11,035

Total
$
74,343

Purchase Commitments
The Company’s commitments related to these agreements as of June 24, 2018, were as follows: 
Payments Due by Fiscal Year:
Purchase
Obligations
 
(in thousands)
2019
$
353,295

2020
6,281

2021
6,036

2022
3,287

2023
3,165

Thereafter
162

Total
$
372,226

Schedule of Changes in Product Warranty Reserves
Changes in the Company’s product warranty reserves were as follows: 
 
Year Ended
June 24,
2018
 
June 25,
2017
 
(in thousands)
Balance at beginning of period
$
161,981

 
$
100,321

Warranties issued during the period
235,252

 
188,813

Settlements made during the period
(196,680
)
 
(135,213
)
Changes in liability for pre-existing warranties
(8,073
)
 
8,060

Balance at end of period
$
192,480

 
$
161,981