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Commitments and Contingencies (Tables)
12 Months Ended
Jun. 30, 2019
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 30, 2019, were as follows:
Payments Due by Fiscal Year (1):
Capital
Leases
 
(in thousands)
2020
$
7,729

2021
11,753

2022
5,669

2023
5,165

2024
4,932

Thereafter
14,801

Total
50,049

Interest on capital leases
16,697

Current portion of capital leases
4,858

Long-term portion of capital leases
$
28,494


(1)
Excludes balances associated with the Company’s build-to-suit lease arrangements that are classified as capital leases in the Consolidated Balance Sheets, but for which cash payment is not anticipated.
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 30, 2019, were as follows:
Payments Due by Fiscal Year:
Operating
Leases
 
(in thousands)
2020
$
37,427

2021
23,277

2022
13,304

2023
6,752

2024
5,804

Thereafter
11,825

Total
$
98,389


Purchase Commitments
The Company’s commitments related to these agreements as of June 30, 2019, were as follows: 
Payments Due by Fiscal Year:
Purchase
Obligations
 
(in thousands)
2020
$
345,498

2021
14,473

2022
14,473

2023
6,721

2024
6,721

Thereafter
36,675

Total
$
424,561


Schedule of Changes in Product Warranty Reserves
Changes in the Company’s product warranty reserves were as follows: 
 
Year Ended
June 30,
2019
 
June 24,
2018
 
(in thousands)
Balance at beginning of period
$
192,480

 
$
161,981

Warranties issued during the period
249,737

 
235,252

Settlements made during the period
(307,079
)
 
(196,680
)
Changes in liability for pre-existing warranties
(7,206
)
 
(8,073
)
Balance at end of period
$
127,932

 
$
192,480