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DEBT AND OTHER FINANCING ARRANGEMENTS - SCHEDULE OF SENIOR NOTES DETAILS (Details) - Senior Notes
12 Months Ended
Jul. 03, 2021
USD ($)
Senior notes, interest at 7.160%, maturing in fiscal 2027  
Debt Instrument [Line Items]  
Par Value $ 44,276,000
Coupon Rate 7.16%
Principal amount tendered $ 1,100,000
Remaining Par Value after tender offer 43,176,000
Cash amount paid (including interest) 1,429,000
Senior notes, interest at 6.500%, maturing in fiscal 2028  
Debt Instrument [Line Items]  
Par Value $ 163,054,000
Coupon Rate 6.50%
Principal amount tendered $ 7,639,000
Remaining Par Value after tender offer 155,415,000
Cash amount paid (including interest) 9,957,000
Senior notes, interest at 5.95%, maturing fiscal 2030  
Debt Instrument [Line Items]  
Par Value $ 1,250,000,000
Coupon Rate 5.95%
Principal amount tendered $ 249,987,000
Remaining Par Value after tender offer 1,000,013,000
Cash amount paid (including interest) 323,720,000
Senior notes, interest at 6.625%, maturing in fiscal 2039  
Debt Instrument [Line Items]  
Par Value $ 203,007,000
Coupon Rate 6.625%
Principal amount tendered $ 507,000
Remaining Par Value after tender offer 202,500,000
Cash amount paid (including interest) 745,000
Senior notes, interest at 6.60%, maturing in fiscal 2040  
Debt Instrument [Line Items]  
Par Value $ 750,000,000
Coupon Rate 6.60%
Principal amount tendered $ 395,026,000
Remaining Par Value after tender offer 354,974,000
Cash amount paid (including interest) 582,197,000
Senior notes, interest at 6.60%, maturing in fiscal 2050  
Debt Instrument [Line Items]  
Par Value $ 1,250,000,000
Coupon Rate 6.60%
Principal amount tendered $ 58,123,000
Remaining Par Value after tender offer 1,191,877,000
Cash amount paid (including interest) $ 90,350,000