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Additional cash flow information
12 Months Ended
Jul. 02, 2022
Additional cash flow information  
Additional cash flow information

15. Additional cash flow information

The “Other, net” component of non-cash and other reconciling items within operating activities in the consolidated statements of cash flows consisted of the following during the last three fiscal years:

    

July 2,

    

July 3,

    

June 27,

 

2022

2021

2020

 

(Thousands)

 

Provision for credit losses

$

30,788

$

15,842

$

12,111

Periodic pension (benefit) cost

 

(3,449)

 

5,392

 

4,246

Other, net

 

6,777

 

1,278

 

14,986

Total

$

34,116

$

22,512

$

31,343

Non-cash investing and financing activities and supplemental cash flow information were as follows:

Years Ended

    

July 2,

    

July 3,

    

June 27,

2022

2021

2020

(Thousands)

Non-cash Investing Activities:

Capital expenditures incurred but not paid

$

20,275

$

7,131

$

9,009

Non-cash Financing Activities:

Unsettled share repurchases

$

8,955

$

$

Supplemental Cash Flow Information:

Interest

$

112,327

$

98,509

$

137,995

Income tax net payments

6,892

83,387

25,116

The Company includes book overdrafts as part of accounts payable on its consolidated balance sheets and reflects changes in such balances as part of cash flows from operating activities in its consolidated statements of cash flows.