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Foreign Exchange Contracts (Tables)
6 Months Ended
Dec. 28, 2012
Fair Value and Balance Sheet Location

The fair value and balance sheet location of such contracts were as follows (in millions):

 

    Asset Derivatives     Liability Derivatives  
    Dec. 28, 2012     Jun. 29, 2012     Dec. 28, 2012     Jun. 29, 2012  

Derivatives Designated as

Hedging Instruments

  Balance Sheet
Location
    Fair
Value
    Balance Sheet
Location
    Fair
Value
    Balance Sheet
Location
    Fair
Value
    Balance Sheet
Location
    Fair
Value
 

Foreign exchange contracts

    Other current assets      $ 15        Other current assets      $ 1        Accrued expenses      $ 3        Accrued expenses      $ 22   
Gains (Losses) of Derivatives in Cash Flow Hedging Relationships

The impact on the condensed consolidated financial statements was as follows (in millions):

 

     Amount of Gain (Loss) Recognized in
Accumulated OCI on Derivatives
   

Location of

Gain (Loss)

Reclassified

     Amount of Gain (Loss) Reclassified
From Accumulated OCI into  Income
 

Derivatives in Cash

Flow Hedging Relationships

   Three
Months
Ended
     Six
Months
Ended
     Three
Months
Ended
     Six
Months
Ended
    from
Accumulated
OCI into
Income
     Three
Months
Ended
     Six
Months
Ended
     Three
Months
Ended
    Six
Months
Ended
 
   Dec. 28, 2012      Dec. 30, 2011        Dec. 28, 2012      Dec. 30, 2011  

Foreign exchange contracts

   $ 14       $ 45       $ 2       $ (6     Cost of revenue       $ 16       $ 19       $ (8   $ 3