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Fair Value Measurements - Measured on a Recurring Basis (Details) - USD ($)
$ in Millions
Mar. 30, 2019
Jun. 30, 2018
Mar. 31, 2018
[1]
Jul. 01, 2017
Assets:        
Short-term investments $ 340.2 $ 314.2    
Other current liabilities:        
Cash 358.3 [1] 397.3 $ 176.8 $ 272.9
Cash   103.6    
Certificates of deposit        
Assets:        
Short-term investments   7.5    
Commercial paper        
Assets:        
Short-term investments 19.3 10.5    
Asset-backed securities        
Assets:        
Short-term investments 70.7 67.8    
Corporate debt securities        
Assets:        
Short-term investments 212.3 219.2    
Municipal bonds        
Assets:        
Short-term investments 1.3 1.6    
Mortgage-backed securities        
Assets:        
Short-term investments 4.7 4.2    
Foreign government bonds        
Assets:        
Short-term investments 5.5 3.4    
U.S. Treasury securities        
Assets:        
Short-term investments 26.4      
Commercial paper        
Other current liabilities:        
Cash 26.0      
Money market funds        
Other current liabilities:        
Cash 10.3      
U.S. Treasury securities        
Other current liabilities:        
Cash 23.5      
Recurring basis        
Assets:        
Total assets 400.0 607.9    
Other current liabilities:        
Derivative liability   52.4    
Acquisition contingencies 2.7 2.7    
Total other accrued liabilities 2.7 55.1    
Recurring basis | Certificates of deposit        
Assets:        
Short-term investments   7.5    
Recurring basis | Commercial paper        
Assets:        
Short-term investments 19.3 10.5    
Recurring basis | Asset-backed securities        
Assets:        
Short-term investments 70.7 67.8    
Recurring basis | Corporate debt securities        
Assets:        
Short-term investments 212.3 219.2    
Recurring basis | Municipal bonds        
Assets:        
Short-term investments 1.3 1.6    
Recurring basis | Mortgage-backed securities        
Assets:        
Short-term investments 4.7 4.2    
Recurring basis | Foreign government bonds        
Assets:        
Short-term investments 5.5 3.4    
Recurring basis | U.S. Treasury securities        
Assets:        
Short-term investments 26.4      
Recurring basis | Certificates of deposit        
Assets:        
Cash equivalents   3.0    
Recurring basis | Commercial paper        
Assets:        
Cash equivalents 26.0 112.1    
Recurring basis | Money market funds        
Assets:        
Cash equivalents 10.3 0.8    
Recurring basis | U.S. Treasury securities        
Assets:        
Cash equivalents 23.5 143.6    
Recurring basis | U.S. Agency securities        
Assets:        
Cash equivalents   34.2    
Recurring basis | Level 1        
Assets:        
Total assets 60.2 144.4    
Other current liabilities:        
Derivative liability   0.0    
Acquisition contingencies 0.0 0.0    
Total other accrued liabilities 0.0 0.0    
Recurring basis | Level 1 | Certificates of deposit        
Assets:        
Short-term investments   0.0    
Recurring basis | Level 1 | Commercial paper        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | Asset-backed securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | Corporate debt securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | Municipal bonds        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | Mortgage-backed securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | Foreign government bonds        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 1 | U.S. Treasury securities        
Assets:        
Short-term investments 26.4      
Recurring basis | Level 1 | Certificates of deposit        
Assets:        
Cash equivalents   0.0    
Recurring basis | Level 1 | Commercial paper        
Assets:        
Cash equivalents 0.0 0.0    
Recurring basis | Level 1 | Money market funds        
Assets:        
Cash equivalents 10.3 0.8    
Recurring basis | Level 1 | U.S. Treasury securities        
Assets:        
Cash equivalents 23.5 143.6    
Recurring basis | Level 1 | U.S. Agency securities        
Assets:        
Cash equivalents   0.0    
Recurring basis | Level 2        
Assets:        
Total assets 339.8 463.5    
Other current liabilities:        
Derivative liability   0.0    
Acquisition contingencies 0.0 0.0    
Total other accrued liabilities 0.0 0.0    
Recurring basis | Level 2 | Certificates of deposit        
Assets:        
Short-term investments   7.5    
Recurring basis | Level 2 | Commercial paper        
Assets:        
Short-term investments 19.3 10.5    
Recurring basis | Level 2 | Asset-backed securities        
Assets:        
Short-term investments 70.7 67.8    
Recurring basis | Level 2 | Corporate debt securities        
Assets:        
Short-term investments 212.3 219.2    
Recurring basis | Level 2 | Municipal bonds        
Assets:        
Short-term investments 1.3 1.6    
Recurring basis | Level 2 | Mortgage-backed securities        
Assets:        
Short-term investments 4.7 4.2    
Recurring basis | Level 2 | Foreign government bonds        
Assets:        
Short-term investments 5.5 3.4    
Recurring basis | Level 2 | U.S. Treasury securities        
Assets:        
Short-term investments 0.0      
Recurring basis | Level 2 | Certificates of deposit        
Assets:        
Cash equivalents   3.0    
Recurring basis | Level 2 | Commercial paper        
Assets:        
Cash equivalents 26.0 112.1    
Recurring basis | Level 2 | Money market funds        
Assets:        
Cash equivalents 0.0 0.0    
Recurring basis | Level 2 | U.S. Treasury securities        
Assets:        
Cash equivalents 0.0 0.0    
Recurring basis | Level 2 | U.S. Agency securities        
Assets:        
Cash equivalents   34.2    
Recurring basis | Level 3        
Assets:        
Total assets 0.0 0.0    
Other current liabilities:        
Derivative liability   52.4    
Acquisition contingencies 2.7 2.7    
Total other accrued liabilities 2.7 55.1    
Recurring basis | Level 3 | Certificates of deposit        
Assets:        
Short-term investments   0.0    
Recurring basis | Level 3 | Commercial paper        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | Asset-backed securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | Corporate debt securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | Municipal bonds        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | Mortgage-backed securities        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | Foreign government bonds        
Assets:        
Short-term investments 0.0 0.0    
Recurring basis | Level 3 | U.S. Treasury securities        
Assets:        
Short-term investments 0.0      
Recurring basis | Level 3 | Certificates of deposit        
Assets:        
Cash equivalents   0.0    
Recurring basis | Level 3 | Commercial paper        
Assets:        
Cash equivalents 0.0 0.0    
Recurring basis | Level 3 | Money market funds        
Assets:        
Cash equivalents 0.0 0.0    
Recurring basis | Level 3 | U.S. Treasury securities        
Assets:        
Cash equivalents $ 0.0 0.0    
Recurring basis | Level 3 | U.S. Agency securities        
Assets:        
Cash equivalents   $ 0.0    
[1] On March 30, 2019, our cash and cash equivalent balance above includes $1.0 million of cash classified as assets held-for-sale on our condensed consolidated balance sheets.