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Debt and Credit Facility (Tables)
3 Months Ended
Jun. 29, 2019
2019 and 2021 Notes Payable [Member]  
Schedule of Debt Instruments [Line Items]  
Carrying values of liability and equity components of debentures
The following table summarizes the carrying value of the 2021 Notes as of June 29, 2019 and March 30, 2019:
 
 
 
 
(In thousands)
June 29, 2019
 
March 30, 2019
Principal amount of the 2021 Notes
$
500,000


$
500,000

Unamortized discount of the 2021 Notes
(928
)

(1,063
)
Unamortized debt issuance costs associated with 2021 Notes
(406
)

(467
)
Carrying value of the 2021 Notes
$
498,666

 
$
498,470


Interest Expense Related to Debentures [Table Text Block]
Interest expense related to the 2021 Notes was included in interest and other income (expense), net on the condensed consolidated statements of income as follows:
 
Three Months Ended
(In thousands)
June 29, 2019
 
June 30, 2018
Contractual coupon interest
$
3,750

 
$
3,750

Amortization of debt issuance costs
61

 
61

Amortization of debt discount, net
135

 
131

Total interest expense related to the 2021 Notes
$
3,946

 
$
3,942


Two Point and Nine Five Percent 2024 Senior Debentures [Member]  
Schedule of Debt Instruments [Line Items]  
Carrying values of liability and equity components of debentures
The following table summarizes the carrying value of the 2024 Notes as of June 29, 2019 and March 30, 2019:

(In thousands)
 
June 29, 2019

March 30, 2019
Principal amount of the 2024 Notes
 
$
750,000


$
750,000

Unamortized discount of the 2024 Notes
 
(613
)

(642
)
Unamortized debt issuance costs associated with 2024 Notes
 
(2,790
)

(2,932
)
Carrying Value of the 2024 Notes
 
$
746,597


$
746,426

Fair value hedge adjustment — interest rate swap contracts
 


(10,089
)
Net carrying value of the 2024 Notes
 
$
746,597


$
736,337



Interest Expense Related to Debentures [Table Text Block]
Interest expense related to the 2024 Notes was included in interest and other income (expense), net on the condensed consolidated statements of income as follows:
 
Three Months Ended
(In thousands)
June 29, 2019

June 30, 2018
Contractual coupon interest (including interest rate swap, net)
$
6,542


$
6,382

Amortization of debt issuance costs
142


142

Amortization of debt discount, net
29


28

Total interest expense related to the 2024 Notes
$
6,713


$
6,552