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Restructuring expenses (Details)
$ in Thousands
12 Months Ended
Jun. 28, 2025
USD ($)
Fiscal Year 2025 Restructuring Liabilities  
Activity related to the restructuring reserves  
Restructuring expenses $ 56,106
Cash payments (17,242)
Non-cash amounts (19,422)
Other, principally foreign currency translation (4)
Ending Balance $ 19,438
Restructuring Charges, Statement of Income or Comprehensive Income [Extensible Enumeration] Restructuring Integration And Other Charges
Severance | Fiscal Year 2025 Restructuring Liabilities  
Activity related to the restructuring reserves  
Restructuring expenses $ 32,167
Cash payments (11,515)
Non-cash amounts (1,463)
Other, principally foreign currency translation (4)
Ending Balance 19,185
Severance | Fiscal Year 2024 Restructuring Liabilities  
Activity related to the restructuring reserves  
Beginning Balance 23,838
Cash payments (15,737)
Changes in estimates, net (6,044)
Other, principally foreign currency translation 117
Ending Balance 2,174
Facility Exit Costs | Fiscal Year 2025 Restructuring Liabilities  
Activity related to the restructuring reserves  
Restructuring expenses 5,582
Cash payments (5,318)
Non-cash amounts (11)
Ending Balance 253
Asset Impairments | Fiscal Year 2025 Restructuring Liabilities  
Activity related to the restructuring reserves  
Restructuring expenses 14,904
Non-cash amounts (14,904)
Other Restructuring | Fiscal Year 2025 Restructuring Liabilities  
Activity related to the restructuring reserves  
Restructuring expenses 3,453
Cash payments (409)
Non-cash amounts $ (3,044)