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SUPPLEMENTAL CASH FLOW INFORMATION (Tables)
3 Months Ended
Sep. 25, 2019
Supplemental Cash Flow Information [Abstract]  
Cash Paid for Income Taxes and Interest
Cash paid for income taxes and interest is as follows:
 
Thirteen Week Periods Ended
 
September 25,
2019
 
September 26,
2018
Income taxes, net of refunds(1)
$
(11.8
)
 
$
4.3

Interest, net of amounts capitalized
6.1

 
7.3


(1) 
Income taxes, net of refunds decreased for the thirteen week period ended September 25, 2019 as compared to the thirteen week period ended September 26, 2018 primarily due to receipt in the current quarter of a refund from the overpayment of incomes taxes paid in fiscal 2019, partially offset by current year payments. Refer to Note 3 - Leases and Note 6 - Income Taxes for further details.
Non-cash Investing and Financing Activities
Non-cash investing and financing activities are as follows:
 
Thirteen Week Periods Ended
 
September 25,
2019
 
September 26,
2018
Retirement of fully depreciated assets
$
4.3

 
$
8.5

Dividends declared but not paid
14.6

 
15.5

Accrued capital expenditures
14.2

 
8.9

Capital lease additions(1)

 
0.3


(1) 
Capital lease additions for the thirteen week period ended September 25, 2019 are disclosed as part of the finance lease disclosures in Note 3 - Leases, “Consolidated Statement of Cash Flows Disclosure of Lease Amounts” section.