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Supplemental Cash Flow Information
12 Months Ended
Jul. 03, 2022
Notes to Financial Statements  
Cash Flow, Supplemental Disclosures [Text Block]

Supplemental Cash Flow Information:

 

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Interest paid amounted to $4.6 million, $5.2 million, and $3.5 million for the years ended July 3, 2022, June 27, 2021, and June 28, 2020, respectively.

 

 

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The Company paid income taxes of approximately $1.4 million, $37.2 million, and $15.5 million, net of tax refunds received, for the years ended July 3, 2022, June 27, 2021, and June 28, 2020, respectively.

 

 -Acquisition of treasury stock includes treasury stock acquired to cover required employee withholding, upon vesting of restricted stock awards.

 

See accompanying Notes to Consolidated Financial Statements.