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FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Mar. 26, 2023
Fair Value Disclosures [Abstract]  
Schedule of Cash, Cash Equivalents, Investments, Restricted Cash and Investments and Other Assets Measured at Fair Value on Recurring Basis
The following tables set forth the Company’s cash, cash equivalents, investments, restricted cash and investments, and other assets measured at fair value on a recurring basis as of March 26, 2023, and June 26, 2022:
March 26, 2023
(Reported Within)
CostUnrealized
Gain
Unrealized
(Loss)
Fair ValueCash and
Cash
Equivalents
InvestmentsRestricted
Cash &
Investments
Other
Assets
(in thousands)
Level 1:
Money market funds$2,534,717 $— $— $2,534,717 $2,534,717 $— $— $— 
Mutual funds87,004 9,710 (2,234)94,480 — — — 94,480 
Level 1 Total2,621,721 9,710 (2,234)2,629,197 2,534,717 — — 94,480 
Level 2:
Corporate notes and bonds64,593 — (744)63,849 — 63,849 — — 
Level 2 Total64,593 — (744)63,849 — 63,849 — — 
Total subject to fair value hierarchy$2,686,314 $9,710 $(2,978)$2,693,046 
Cash$1,414,563 $1,411,064 $— $661 $2,838 
Time deposits1,609,894 1,359,867 — 250,027 — 
Total$5,717,503 $5,305,648 $63,849 $250,688 $97,318 

June 26, 2022
(Reported Within)
CostUnrealized
Gain
Unrealized
(Loss)
Fair ValueCash and
Cash
Equivalents
InvestmentsRestricted
Cash &
Investments
Other
Assets
(in thousands)
Level 1:
Money market funds$712,076 $— $— $712,076 $712,076 $— $— $— 
Mutual funds84,851 12,027 (1,659)95,219 — — — 95,219 
Level 1 Total796,927 12,027 (1,659)807,295 712,076 — — 95,219 
Level 2:
Corporate notes and bonds137,859 — (2,128)135,731 — 135,731 — — 
Level 2 Total137,859 — (2,128)135,731 — 135,731 — — 
Total subject to fair value hierarchy$934,786 $12,027 $(3,787)$943,026 
Cash$1,017,253 $1,015,747 $— $1,506 $— 
Time deposits2,044,206 1,794,178 — 250,028 — 
Total$4,004,485 $3,522,001 $135,731 $251,534 $95,219 
Schedule of Investments in Unrealized Loss Positions
The following is an analysis of the Company’s investments in unrealized loss positions:
March 26, 2023
Unrealized Losses
Less than 12 Months
Unrealized Losses
12 Months or Greater
Total
Fair ValueGross
Unrealized
Loss
Fair ValueGross
Unrealized
Loss
Fair ValueGross
Unrealized
Loss
(in thousands)
Mutual funds$11,634 $(922)$15,332 $(1,312)$26,966 $(2,234)
Corporate notes and bonds16,838 (88)46,560 (656)63,398 (744)
$28,472 $(1,010)$61,892 $(1,968)$90,364 $(2,978)
Schedule of Amortized Cost and Fair Value of Cash Equivalents, Investments, Restricted Cash and Investments with Contractual Maturities
The amortized cost and fair value of cash equivalents, investments, and restricted investments with contractual maturities are as follows as of March 26, 2023:
Cost
Fair
Value
(in thousands)
Due in one year or less$4,200,733 $4,200,066 
Due after one year through five years8,471 8,394 
$4,209,204 $4,208,460