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Restructuring expenses (Tables)
12 Months Ended
Jul. 02, 2022
Fiscal Year 2021 And Prior Restructuring Liabilities  
Restructuring Cost and Reserve [Line Items]  
Activity related to the restructuring reserves

Facility

    

    

and Contract

    

Severance

    

Exit Costs

    

Total

(Thousands)

Balance at July 3, 2021

$

35,099

$

4,863

$

39,962

Cash payments

 

(23,848)

(2,531)

(26,379)

Changes in estimates, net

(4,142)

816

(3,326)

Other, principally foreign currency translation

 

(870)

(202)

(1,072)

Balance at July 2, 2022

$

6,239

$

2,946

$

9,185