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CHANGES IN CONSOLIDATED SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Cumulative Effect, Period of Adoption, Adjustment
Common Stock
Paid-in Capital
Retained Earnings
Retained Earnings
Cumulative Effect, Period of Adoption, Adjustment
Accumulated Other Comprehensive Loss
Treasury Stock
Beginning balance (in shares) at Jun. 27, 2020     765,174,900          
Beginning balance at Jun. 27, 2020 $ 1,158,613 $ (2,068) $ 765,175 $ 1,506,901 $ 10,563,008 $ (2,068) $ (1,710,881) $ (9,965,590)
Treasury stock Beginning balance (in shares) at Jun. 27, 2020               256,915,825
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net earnings 524,209       524,209      
Foreign currency translation adjustment 362,292           362,292  
Amortization of cash flow hedges, net of tax 8,812           8,812  
Change in cash flow hedges, net of tax 14,125           14,125  
Change in net investment hedges, net of tax (24,155)           (24,155)  
Changes in excluded components of fair value hedge, net of tax 0              
Reclassification of pension and other postretirement benefit plans amounts to net earnings, net of tax 47,243           47,243  
Pension settlement charge, net of tax 0              
Pension funded status adjustment, net of tax/Net actuarial loss arising in current year 156,480           156,480  
Change in marketable securities (2,680)           (2,680)  
Dividends declared (933,443)       (933,443)      
Share-based compensation awards (in shares)               (3,573,230)
Share-based compensation awards 243,468     113,094       $ 130,374
Ending balance (in shares) at Jul. 03, 2021     765,174,900          
Ending balance at Jul. 03, 2021 1,552,896   $ 765,175 1,619,995 10,151,706   (1,148,764) $ (9,835,216)
Treasury stock Ending balance (in shares) at Jul. 03, 2021               253,342,595
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net earnings 1,358,768       1,358,768      
Foreign currency translation adjustment (461,425)           (461,425)  
Amortization of cash flow hedges, net of tax 8,624           8,624  
Change in cash flow hedges, net of tax 24,312           24,312  
Change in net investment hedges, net of tax 53,930           53,930  
Changes in excluded components of fair value hedge, net of tax 0              
Reclassification of pension and other postretirement benefit plans amounts to net earnings, net of tax 59,414           59,414  
Pension settlement charge, net of tax 0              
Pension funded status adjustment, net of tax/Net actuarial loss arising in current year (8,758)           (8,758)  
Change in marketable securities (9,387)           (9,387)  
Dividends declared (970,752)       (970,752)      
Treasury stock purchases (in shares)               6,698,991
Treasury stock purchases (499,839)             $ (499,839)
Increase in ownership interest in subsidiaries (304)     (304)        
Share-based compensation awards (in shares)               (3,510,043)
Share-based compensation awards 274,781     146,614       $ 128,167
Ending balance (in shares) at Jul. 02, 2022     765,174,900          
Ending balance at Jul. 02, 2022 $ 1,382,260   $ 765,175 1,766,305 10,539,722   (1,482,054) $ (10,206,888)
Treasury stock Ending balance (in shares) at Jul. 02, 2022 256,531,543             256,531,543
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net earnings $ 1,770,124       1,770,124      
Foreign currency translation adjustment 127,227           127,227  
Amortization of cash flow hedges, net of tax 8,665           8,665  
Change in cash flow hedges, net of tax (55,334)           (55,334)  
Change in net investment hedges, net of tax (20,918)           (20,918)  
Changes in excluded components of fair value hedge, net of tax (149)           (149)  
Reclassification of pension and other postretirement benefit plans amounts to net earnings, net of tax 24,002           24,002  
Pension settlement charge, net of tax 236,591           236,591  
Pension funded status adjustment, net of tax/Net actuarial loss arising in current year (88,799)              
Change in marketable securities (1,821)           (1,821)  
Dividends declared (999,182)       (999,182)      
Treasury stock purchases (in shares)               6,231,071
Treasury stock purchases (500,093)             $ (500,093)
Increase in ownership interest in subsidiaries (2,077)     (2,077)        
Share-based compensation awards (in shares)               (2,699,780)
Share-based compensation awards 128,126     50,453       $ 77,673
Ending balance (in shares) at Jul. 01, 2023     765,174,900          
Ending balance at Jul. 01, 2023 $ 2,008,622   $ 765,175 $ 1,814,681 $ 11,310,664   $ (1,252,590) $ (10,629,308)
Treasury stock Ending balance (in shares) at Jul. 01, 2023 260,062,834             260,062,834