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Additional cash flow information (Tables)
12 Months Ended
Jun. 28, 2025
Additional cash flow information  
Noncash and other reconciling items within operating activities

    

June 28,

    

June 29,

    

July 1,

 

2025

2024

2023

 

(Thousands)

 

Provision for credit losses

$

3,503

$

12,570

$

16,798

Periodic pension cost (benefit) (1)

 

2,093

 

(663)

 

30,424

Other, net

 

20,346

 

3,893

 

4,920

Total

$

25,942

$

15,800

$

52,142

(1) Included net loss recognized due to benefit obligation settlement of $37,350 in fiscal 2023.
Interest and income taxes paid

Years Ended

    

June 28,

    

June 29,

    

July 1,

2025

2024

2023

(Thousands)

Non-cash Investing Activities:

Capital expenditures incurred but not paid

$

16,538

$

20,451

$

28,771

Non-cash Financing Activities:

Unsettled share repurchases

$

2,054

Supplemental Cash Flow Information:

Interest

$

287,592

$

351,374

$

261,586

Income tax payments, net

$

245,995

$

208,585

$

216,780