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Restructuring expenses (Tables)
12 Months Ended
Jun. 28, 2025
Fiscal Year 2025 Restructuring Liabilities Member  
Restructuring Cost and Reserve [Line Items]  
Activity related to the restructuring reserves

    

    

Facility

    

Asset

    

    

Severance

    

Exit Costs

    

Impairments

    

Other

    

Total

(Thousands)

Fiscal 2025 restructuring expenses

$

32,167

$

5,582

$

14,904

$

3,453

$

56,106

Cash payments

 

(11,515)

(5,318)

(409)

(17,242)

Non-cash amounts

(1,463)

(11)

(14,904)

(3,044)

(19,422)

Other, principally foreign currency translation

(4)

(4)

Balance at June 28, 2025

$

19,185

$

253

$

$

$

19,438

Fiscal Year 2024 Restructuring Liabilities  
Restructuring Cost and Reserve [Line Items]  
Activity related to the restructuring reserves

    

Severance

(Thousands)

Balance at June 29, 2024

$

23,838

Cash payments

 

(15,737)

Changes in estimates, net

 

(6,044)

Other, principally foreign currency translation

 

117

Balance at June 28, 2025

$

2,174