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Derivatives (Tables)
6 Months Ended
Sep. 27, 2024
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments
The following table summarizes our outstanding derivative instruments as of September 27, 2024 and March 29, 2024:
Notional AmountFair Value of Derivative AssetsFair Value of Derivative Liabilities
(In millions)September 27, 2024March 29, 2024September 27, 2024March 29, 2024September 27, 2024March 29, 2024
Foreign exchange contracts not designated as hedging instrument (1)
$324 $345 $— $— $— $— 
Interest rate swap contracts designated as cash flow hedge
1,000 1,000 — 16 — 
Total$1,324 $1,345 $— $16 $$— 
(1) The fair values of the foreign exchange contracts are less than $1 million as of September 27, 2024 and March 29, 2024.
Schedule of Effect of Cash Flow Hedges on AOCI
The following table summarizes the effect of our cash flow hedges on AOCI during the periods indicated:
Three Months EndedSix Months Ended
(In millions)September 27, 2024September 29, 2023September 27, 2024September 29, 2023
Interest rate swap contracts designated as cash flow hedge
$15 $(10)$11 $(32)
Schedule of Derivative Instruments, Gain (Loss)
The related gain (loss) recognized in our Condensed Consolidated Statements of Operations was as follows:
Three Months EndedSix Months EndedCondensed Consolidated Statements of Operations Classification
(In millions)September 27, 2024September 29, 2023September 27, 2024September 29, 2023
Foreign exchange contracts not designated as hedging instrument$$(6)$$(9)Other income (expense), net
Interest rate swap contracts designated as cash flow hedge
Interest expense
Total$$(2)$10 $(2)