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Commitments and Contingencies (Tables)
12 Months Ended
Jun. 25, 2023
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Purchase Commitments
The Company’s commitments related to these agreements as of June 25, 2023, were as follows: 
Payments Due by Fiscal Year:Purchase
Obligations
(in thousands)
2024$659,074 
202581,294 
20263,504 
2027890 
2028359 
Thereafter320 
Total$745,441 
Schedule of Transition Tax Liability
Significant components of the provision (benefit) for income taxes attributable to income before income taxes were as follows:
Year Ended
June 25,
2023
June 26,
2022
June 27,
2021
 (in thousands)
Federal:
Current$541,416 $620,344 $437,525 
Deferred(136,178)(226,895)(139,531)
405,238 393,449 297,994 
State:
Current32,082 20,759 13,560 
Deferred(2,813)(19,096)(8,324)
29,269 1,663 5,236 
Foreign:
Current196,842 204,163 162,738 
Deferred(33,070)(11,447)(3,622)
163,772 192,716 159,116 
Total provision for income taxes$598,279 $587,828 $462,346 
The Company’s remaining obligation related to this arrangement as of June 25, 2023, were as follows: 
Payments Due by Fiscal Year (1):
Transition Tax
(in thousands)
2024$137,783 
2025183,710 
2026229,638 
Total$551,131 
(1) The Company may choose to apply existing tax credits, thereby reducing the actual cash payment.
Schedule of Changes in Product Warranty Reserves
Changes in the Company’s product warranty reserves were as follows: 
 Year Ended
June 25,
2023
June 26,
2022
 (in thousands)
Balance at beginning of period$256,258 $191,758 
Warranties issued during the period272,281 295,167 
Settlements made during the period(240,841)(272,954)
Changes in liability for warranties issued during the period(14,270)14,951 
Changes in liability for pre-existing warranties13,235 27,336 
Balance at end of period$286,663 $256,258