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Consolidated Statements Of Cash Flows (USD $)
In Millions, unless otherwise specified
12 Months Ended
Mar. 29, 2013
Mar. 30, 2012
Apr. 01, 2011
OPERATING ACTIVITIES:      
Net income $ 765 $ 1,172 $ 593
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation 283 273 257
Amortization of intangible assets 355 380 385
Amortization of debt issuance costs and discounts 60 59 101
Stock-based compensation expense 164 164 145
Deferred income taxes 44 15 5
Impairment of intangible assets   4 27
Net gain from sale of joint venture   (526)  
Excess income tax benefit from the exercise of stock options (11) (8) (7)
Loss from joint venture   27 31
Liquidation of foreign entities 2 3 21
Other 14 (1) 5
Net change in assets and liabilities, excluding effects of acquisitions:      
Trade accounts receivable, net (107) 89 (88)
Inventories 4 2 (4)
Accounts payable 33 30 2
Accrued compensation and benefits 12 (31) 72
Deferred revenue 119 177 442
Income taxes payable (31) 39 (128)
Other assets (68) (14) 6
Other liabilities (45) 47 (71)
Net cash provided by operating activities 1,593 1,901 1,794
INVESTING ACTIVITIES:      
Purchases of property and equipment (336) (286) (268)
Proceeds from sale of property and equipment     30
Cash payments for acquisitions, net of cash acquired (28) (508) (1,537)
Purchases of equity investments   (10) (7)
Proceeds from sale of joint venture   530  
Purchases of short-term investments   (47)  
Proceeds from sale of short-term investments 46 3 20
Other (1)   2
Net cash used in investing activities (319) (318) (1,760)
FINANCING ACTIVITIES:      
Net proceeds from sales of common stock under employee stock benefit plans 281 147 122
Excess income tax benefit from the exercise of stock options 11 8 7
Tax payments related to restricted stock units (36) (41) (28)
Repurchase of common stock (826) (893) (872)
Purchase of additional equity interest in subsidiary (111)    
Repayment of debt and other obligations   (607) (513)
Proceeds from debt issuance, net of discount 996   1,097
Proceeds from sale of bond hedge     13
Debt issuance costs (7)   (10)
Net cash provided by (used in) financing activities 308 (1,386) (184)
Effect of exchange rate fluctuations on cash and cash equivalents (59) 15 71
Change in cash and cash equivalents 1,523 212 (79)
Beginning cash and cash equivalents 3,162 2,950 3,029
Ending cash and cash equivalents 4,685 3,162 2,950
Supplemental cash flow disclosures      
Income taxes paid (net of refunds) 252 234 224
Interest expense paid $ 69 $ 56 $ 38