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Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Jun. 30, 2019
Jun. 24, 2018
Jun. 25, 2017
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net income $ 2,191,430,000 $ 2,380,681,000 $ 1,697,763,000
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization 309,281,000 326,395,000 306,905,000
Deferred income taxes (4,980,000) 3,046,000 104,936,000
Equity-based compensation expense 187,234,000 172,216,000 149,975,000
Income tax benefit on equity-based compensation plans 0 0 38,747,000
Excess tax benefits on equity-based compensation plans 0 0 (38,635,000)
Impairment of investments 0    
Impairment of investments   42,456,000 0
(Gains) losses on extinguishment of debt, net (118,000) (542,000) 36,252,000
Amortization of note discounts and issuance costs 7,343,000 14,428,000 25,282,000
Gain on sale of assets 0 0 (163,000)
Other, net (5,701,000) 34,260,000 19,052,000
Changes in operating asset and liability accounts:      
Accounts receivable, net of allowance 732,138,000 (501,628,000) (411,287,000)
Inventories 281,355,000 (701,008,000) (307,875,000)
Prepaid expenses and other assets (17,864,000) (14,391,000) (27,269,000)
Trade accounts payable (131,472,000) 35,655,000 126,819,000
Deferred profit (178,074,000) 112,413,000 258,473,000
Accrued expenses and other liabilities (194,559,000) 751,766,000 50,307,000
Net cash provided by operating activities 3,176,013,000 2,655,747,000 2,029,282,000
CASH FLOWS FROM INVESTING ACTIVITIES:      
Capital expenditures and intangible assets (303,491,000) (273,469,000) (157,419,000)
Business acquisition, net of cash acquired 0 (115,697,000) 0
Purchases of available-for-sale securities (2,930,049,000)    
Purchases of available-for-sale securities   (2,532,829,000) (4,581,851,000)
Proceeds from maturities of available-for-sale securities 466,539,000 650,255,000 891,002,000
Proceeds from sales of available-for-sale securities 1,137,302,000    
Proceeds from sales of available-for-sale securities   5,035,460,000 1,806,963,000
Proceeds from sale of assets 0 0 1,291,000
Other, net (7,355,000) (15,184,000) (12,815,000)
Net cash (used for) provided by investing activities (1,637,054,000) 2,748,536,000 (2,052,829,000)
CASH FLOWS FROM FINANCING ACTIVITIES:      
Principal payments on long-term debt and capital lease obligations and payments for debt issuance costs (117,653,000) (755,694,000) (1,688,313,000)
Net proceeds from issuance of long-term debt 2,476,720,000 0 0
Net (repayment) proceeds from commercial paper (361,754,000) 359,604,000 0
Proceeds from borrowings on revolving credit facility 0 750,000,000 0
Repayment of borrowings on revolving credit facility 0 (750,000,000) 0
Excess tax benefits on equity-based compensation plans 0 0 38,635,000
Treasury stock purchases (3,780,611,000) (2,653,249,000) (811,672,000)
Dividends paid (678,348,000) (307,609,000) (243,495,000)
Reissuances of treasury stock related to employee stock purchase plan 77,961,000 75,624,000 59,663,000
Proceeds from issuance of common stock 6,813,000 9,258,000 12,913,000
Other, net (13,208,000) 9,000 (125,000)
Net cash used for financing activities (2,390,080,000) (3,272,057,000) (2,632,394,000)
Effect of exchange rate changes on cash, cash equivalents and restricted cash (4,041,000) 2,593,000 (63,000)
Net (decrease) increase in cash, cash equivalents and restricted cash (855,162,000) 2,134,819,000 (2,656,004,000)
Cash, cash equivalents and restricted cash at beginning of year 4,768,558,000 2,633,739,000 5,289,743,000
Cash, cash equivalents and restricted cash at end of year 3,913,396,000 4,768,558,000 2,633,739,000
Schedule of non-cash transactions      
Accrued payables for stock repurchases 29,000 116,000 0
Accrued payables for capital expenditures 23,185,000 24,001,000 17,285,000
Transfers of finished goods inventory to property and equipment, net 54,533,000 57,886,000 46,855,000
Supplemental disclosures:      
Cash payments for interest 76,933,000 84,401,000 104,619,000
Cash payments for income taxes, net 300,268,000 142,800,000 28,104,000
Reconciliation of cash, cash equivalents, and restricted cash      
Total cash, cash equivalents, and restricted cash $ 4,768,558,000 $ 4,768,558,000 $ 5,289,743,000