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Debt (Tables)
3 Months Ended
Oct. 04, 2019
Debt Disclosure [Abstract]  
Schedule of Debt

Debt consisted of the following as of October 4, 2019 and June 28, 2019:
 
October 4,
2019
 
June 28,
2019
 
(in millions)
0.50% convertible senior notes due 2020
$
35

 
$
35

Revolving credit facility maturing 2023

 

Variable interest rate Term Loan A-1 maturing 2023
4,771

 
4,834

Variable interest rate U.S. Term Loan B-4 maturing 2023
2,168

 
2,425

1.50% convertible notes due 2024
1,100

 
1,100

4.750% senior unsecured notes due 2026
2,300

 
2,300

Total debt
10,374

 
10,694

Issuance costs and debt discounts
(162
)
 
(172
)
Subtotal
10,212

 
10,522

Less current portion of long-term debt
(251
)
 
(276
)
Long-term debt
$
9,961

 
$
10,246