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Supplementary Information (Tables)
9 Months Ended
Jan. 01, 2021
Supplementary Information [Abstract]  
Schedule of Cash and cash equivalents
Cash and cash equivalents:
January 1, 2021April 3, 2020
Cash$818 $483 
Cash equivalents228 1,694 
Total cash and cash equivalents$1,046 $2,177 
Schedule of Other current assets
Other current assets:
January 1, 2021April 3, 2020
Prepaid expenses$90 $110 
Income tax receivable and prepaid income taxes154 150 
Other tax receivable132 88 
Other18 87 
Total other current assets$394 $435 
Summary of Property and equipment, net
Property and equipment, net:
January 1, 2021April 3, 2020
Land and buildings$17 $115 
Computer hardware and software481 746 
Office furniture and equipment63 88 
Leasehold improvements61 128 
Construction in progress
Total property and equipment, gross623 1,078 
Accumulated depreciation and amortization(553)(840)
Total property and equipment, net$70 $238 
Schedule of Other long-term assets
Other long-term assets:
January 1, 2021April 3, 2020
Non-marketable equity investments$188 $187 
Long-term income tax receivable and prepaid income taxes15 38 
Deferred income tax assets428 387 
Long-term prepaid royalty74 15 
Other49 51 
Total other long-term assets$754 $678 
Schedule of Short-term contract liabilities
Short-term contract liabilities:
January 1, 2021April 3, 2020
Deferred revenue$693 $709 
Customer deposit liabilities397 340 
Total short-term contract liabilities$1,090 $1,049 
Schedule of Other current liabilities
Other current liabilities:
January 1, 2021April 3, 2020
Income taxes payable$104 $195 
Other taxes payable182 141 
Other205 251 
Total other current liabilities$491 $587 
Schedule of Long-term income taxes payable
Long-term income taxes payable:
January 1, 2021April 3, 2020
Deemed repatriation tax payable$516 $615 
Uncertain tax positions (including interest and penalties)580 695 
Total long-term income taxes payable$1,096 $1,310 
Schedule of Other income, net
Other income, net:
Three Months EndedNine Months Ended
January 1, 2021January 3, 2020January 1, 2021January 3, 2020
Interest income$— $38 $$56 
Loss from equity interest— (9)— (31)
Foreign exchange gain (loss)(5)(7)
Gain on sale of equity investment method— 379 — 379 
Gain on early extinguishment of debt— — 20 — 
Gain on sale of property— — 35 — 
Other(4)— 
Other income, net$$399 $62 $397 
Supplemental Cash Flow Information
Supplemental cash flow information:
Nine Months Ended
January 1, 2021January 3, 2020
Income taxes paid, net of refunds$299 $198 
Interest expense paid$119 $133 
Cash paid for amounts included in the measurement of operating lease liabilities$26 $43 
Non-cash operating activities:
Operating lease assets obtained in exchange for operating lease liabilities$29 $14 
Reduction of operating lease assets as a result of lease terminations and modifications$24 $24 
Non-cash investing and financing activities:
Purchases of property and equipment in current liabilities $— $
Extinguishment of debt with borrowings from same creditors$— $198