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Debt
3 Months Ended
Dec. 28, 2014
Debt Disclosure [Abstract]  
Debt
Debt
Components of long-term debt including the associated interest rates and related fair values (in millions, except interest rates):
 
Dec 28, 2014
 
Sep 28, 2014
 
Stated Interest Rate
Effective Interest Rate (1)
Issuance
Face Value
Estimated Fair Value
 
Face Value
Estimated Fair Value
 
2016 notes
$
400.0

$
399

 
$
400.0

$
400

 
0.875
%
0.941
%
2017 notes
550.0

617

 
550.0

625

 
6.250
%
6.292
%
2018 notes
350.0

354

 
350.0

353

 
2.000
%
2.012
%
2023 notes
750.0

814

 
750.0

786

 
3.850
%
2.860
%
   Total
2,050.0

2,184

 
2,050.0

2,164

 
 
 
Aggregate unamortized discount
1.6

 
 
1.7

 
 
 
 
   Total
$
2,048.4

 
 
$
2,048.3

 
 
 
 
(1)
Includes the effects of the amortization of any premium or discount and any gain or loss upon settlement of related treasury locks or forward-starting interest rate swaps utilized to hedge the interest rate risk prior to the debt issuance.
The indentures under which the above notes were issued require us to maintain compliance with certain covenants, including limits on future liens and sale and leaseback transactions on certain material properties. As of December 28, 2014, we were in compliance with all applicable covenants.