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Supplementary Information (Tables)
3 Months Ended
Jul. 05, 2019
Supplementary Information [Abstract]  
Schedule of Cash and cash equivalents
Cash and cash equivalents:
 
July 5, 2019
 
March 29, 2019
Cash
$
270

 
$
376

Cash equivalents
1,262

 
1,415

Total cash and cash equivalents
$
1,532

 
$
1,791


Schedule of Other current assets
Other current assets:
 
July 5, 2019
 
March 29, 2019
Prepaid expenses
$
164

 
$
162

Income tax receivable and prepaid income taxes
34

 
61

Value-added tax receivable and other tax receivables
76

 
69

Short-term deferred commissions
101

 
92

Other
54

 
51

Total other current assets
$
429

 
$
435


Summary of Property and equipment, net
Property and equipment, net:
 
July 5, 2019
 
March 29, 2019
Land
$
65

 
$
66

Computer hardware and software
1,181

 
1,159

Office furniture and equipment
122

 
118

Buildings
364

 
364

Leasehold improvements
379

 
372

Construction in progress
31

 
30

Total property and equipment, gross
2,142

 
2,109

Accumulated depreciation and amortization
(1,358
)
 
(1,319
)
Total property and equipment, net
$
784

 
$
790


Schedule of Other long-term assets
Other long-term assets:
 
July 5, 2019
 
March 29, 2019
Cost method investments
$
186

 
$
184

Equity method investment
22

 
32

Long-term income tax receivable and prepaid income taxes
43

 
34

Deferred income tax assets
833

 
830

Long-term deferred commissions
82

 
93

Other
89

 
89

Total other long-term assets
$
1,255

 
$
1,262


Schedule of Short-term contract Liabilities
Contract liabilities by segment were as follows:
(In millions)
July 5, 2019
 
March 29, 2019
Enterprise Security
$
1,888

 
$
2,002

Consumer Cyber Safety
1,011

 
1,054

Total
$
2,899

 
$
3,056


Short-term contract liabilities:
 
July 5, 2019
 
March 29, 2019
Deferred revenue
$
1,795

 
$
1,815

Customer deposit liabilities
416

 
505

Total short-term contract liabilities
$
2,211

 
$
2,320


Schedule of Long-term income taxes payable
Long-term income taxes payable:
 
July 5, 2019
 
March 29, 2019
Deemed repatriation tax payable
$
638

 
$
703

Uncertain tax positions (including interest and penalties)
440

 
373

Total long-term income taxes payable
$
1,078

 
$
1,076


Schedule of Other income (expense), net
Other expense, net:
 
Three Months Ended
 
July 5, 2019
 
June 29, 2018
Interest income
$
10

 
$
7

Loss from equity interest
(11
)
 
(26
)
Foreign exchange loss
(2
)
 
(9
)
Other
3

 
9

Other expense, net
$

 
$
(19
)

Supplemental Cash Flow Information
Supplemental cash flow information:
 
Three Months Ended
 
July 5, 2019
 
June 29, 2018
Income taxes paid, net of refunds
$
36

 
$
21

Interest expense paid
$
48

 
$
49

Cash paid for amounts included in the measurement of operating lease liabilities
$
18

 
$

Non-cash operating activities:
 
 
 
Operating lease assets obtained in exchange for operating lease liabilities
$
13

 
$

Non-cash investing activities:
 
 
 
Purchases of property and equipment in current liabilities
$
14

 
$
13