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Consolidated Statements of Stockholders' Equity - USD ($)
shares in Thousands, $ in Thousands
Total
Adoption
Common Stock
Additional Paid-in Capital
Treasury Stock
Accumulated Other Comprehensive Income(Loss)
Retained Earnings
Retained Earnings
Adoption
Beginning balance (shares) at Jun. 30, 2019     144,433          
Beginning balance at Jun. 30, 2019 $ 4,673,865 $ 3,018 $ 144 $ 6,409,405 $ (11,602,573) $ (64,030) $ 9,930,919 $ 3,018
Increase (Decrease) in Stockholders' Equity                
Issuance of common stock (shares)     1,288          
Issuance of common stock 8,084   $ 1 8,083        
Purchase of treasury stock (shares)     (5,371)          
Purchase of treasury stock (1,369,702)   $ (5)   (1,369,697)      
Reissuance of treasury stock (in shares)     513          
Reissuance of treasury stock 85,439   $ 1 63,057 22,381      
Equity-based compensation expense 189,197     189,197        
Effect of conversion of convertible notes (shares)     4,468          
Effect of conversion of convertible notes (12,324)   $ 4 (12,328)        
Reclassification from temporary to permanent equity 38,444     38,444        
Net income 2,251,753           2,251,753  
Other comprehensive income (loss) (30,181)         (30,181)    
Cash dividends declared (665,099)           (665,099)  
Ending balance (shares) at Jun. 28, 2020     145,331          
Ending balance at Jun. 28, 2020 5,172,494 $ 1,157 $ 145 6,695,858 (12,949,889) (94,211) 11,520,591 $ 1,157
Increase (Decrease) in Stockholders' Equity                
Issuance of common stock (shares)     1,089          
Issuance of common stock 24,123   $ 1 24,122        
Purchase of treasury stock (shares)     (5,819)          
Purchase of treasury stock (2,717,627)   $ (5)   (2,717,622)      
Reissuance of treasury stock (in shares)     484          
Reissuance of treasury stock 97,764     76,954 20,810      
Equity-based compensation expense 220,164     220,164        
Effect of conversion of convertible notes (shares)     1,416          
Effect of conversion of convertible notes 24,871   $ 2 24,869        
Reclassification from temporary to permanent equity 10,995     10,995        
Net income 3,908,458           3,908,458  
Other comprehensive income (loss) 30,083         30,083    
Cash dividends declared (745,294)           (745,294)  
Ending balance (shares) at Jun. 27, 2021     142,501          
Ending balance at Jun. 27, 2021 6,027,188   $ 143 7,052,962 (15,646,701) (64,128) 14,684,912  
Increase (Decrease) in Stockholders' Equity                
Issuance of common stock (shares)     795          
Issuance of common stock 5,682   $ 1 5,681        
Purchase of treasury stock (shares)     (6,574)          
Purchase of treasury stock (3,845,704)   $ (7)   (3,845,697)      
Reissuance of treasury stock (in shares)     253          
Reissuance of treasury stock 108,178     97,209 10,969      
Equity-based compensation expense 259,064     259,064        
Net income 4,605,286           4,605,286  
Other comprehensive income (loss) (45,854)         (45,854)    
Cash dividends declared (835,474)           (835,474)  
Ending balance (shares) at Jun. 26, 2022     136,975          
Ending balance at Jun. 26, 2022 $ 6,278,366   $ 137 $ 7,414,916 $ (19,481,429) $ (109,982) $ 18,454,724