XML 102 R88.htm IDEA: XBRL DOCUMENT v3.22.2
Restructuring expenses (Details) - Fiscal Year 2021 And Prior Restructuring Liabilities
$ in Thousands
12 Months Ended
Jul. 02, 2022
USD ($)
Activity related to the restructuring reserves  
Beginning Balance $ 39,962
Cash payments (26,379)
Changes in estimates, net (3,326)
Other, principally foreign currency translation (1,072)
Ending Balance 9,185
Severance  
Activity related to the restructuring reserves  
Beginning Balance 35,099
Cash payments (23,848)
Changes in estimates, net (4,142)
Other, principally foreign currency translation (870)
Ending Balance 6,239
Facility and Contract Exit Costs  
Activity related to the restructuring reserves  
Beginning Balance 4,863
Cash payments (2,531)
Changes in estimates, net 816
Other, principally foreign currency translation (202)
Ending Balance $ 2,946