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Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Mar. 29, 2014
Jun. 29, 2013
Mar. 30, 2013
Current assets      
Cash and cash equivalents $ 341,090 $ 412,285 $ 331,520
Accounts and notes receivable, less allowances of $80,254, $47,345, and $82,895 3,510,518 3,183,114 3,396,850
Inventories 2,527,900 2,396,188 2,413,190
Deferred income taxes 121,033 136,211 132,480
Prepaid expenses and other current assets 74,827 61,925 68,575
Prepaid income taxes 64,107 17,704 32,967
Total current assets 6,639,475 6,207,427 6,375,582
Plant and equipment at cost, less depreciation 3,956,209 3,978,071 3,938,277
Other assets      
Goodwill 1,937,075 1,884,235 1,802,433
Intangibles, less amortization 181,036 205,719 150,779
Restricted cash 157,870 145,328 145,270
Other assets 266,599 243,167 244,869
Total other assets 2,542,580 2,478,449 2,343,351
Total assets 13,138,264 12,663,947 12,657,210
Current liabilities      
Notes payable 71,510 41,632 32,045
Accounts payable 2,726,427 2,428,215 2,432,309
Accrued expenses 1,141,625 1,072,134 983,758
Current maturities of long-term debt 4,454 207,301 208,792
Total current liabilities 3,944,016 3,749,282 3,656,904
Other liabilities      
Long-term debt 2,986,163 2,639,986 2,557,314
Deferred income taxes 195,876 266,222 116,960
Other long-term liabilities 780,834 816,647 1,173,671
Total other liabilities 3,962,873 3,722,855 3,847,945
Commitments and contingencies         
Shareholders' equity      
Preferred stock, par value $1 per share Authorized 1,500,000 shares, issued none 0 0 0
Common stock, par value $1 per share Authorized 2,000,000,000 shares, issued 765,174,900 shares 765,175 765,175 765,175
Paid-in capital 1,119,784 1,059,624 1,029,443
Retained earnings 8,687,098 8,512,786 8,394,426
Accumulated other comprehensive loss (516,922) (446,937) (620,720)
Treasury stock at cost, 181,231,290, 179,068,430 and 171,925,048 shares (4,823,760) (4,698,838) (4,415,963)
Total shareholders' equity 5,231,375 5,191,810 5,152,361
Total liabilities and shareholders' equity $ 13,138,264 $ 12,663,947 $ 12,657,210