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Additional cash flow information (Tables)
6 Months Ended
Jan. 02, 2021
Additional cash flow information  
Interest and income taxes paid

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Six Months Ended

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January 2,

   

December 28,

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2021

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2019

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(Thousands)

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Non-cash Investing Activities:

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Capital expenditures incurred but not paid

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$

4,359

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$

6,374

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Non-cash Financing Activities:

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Unsettled share repurchases

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—

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$

2,468

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Supplemental Cash Flow Information:

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Interest

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$

50,507

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$

72,203

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Income tax net payments (refunds)

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51,835

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(5,810)

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