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Fair Value Measurements (Tables)
6 Months Ended
Jan. 01, 2022
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured at Fair Value
The Company’s assets and liabilities measured at fair value for the periods presented are as follows (in millions):
January 1, 2022July 3, 2021
TotalLevel 1Level 2Level 3TotalLevel 1Level 2Level 3
Assets:      
Debt available-for-sale securities:   40   
Asset-backed securities (1)
$0.6 $— $0.6 $— $0.4 $— $0.4 $— 
Total debt available-for-sale securities0.6 — 0.6 — 0.4 — 0.4 — 
Money market funds (2)
428.8 428.8 — — 408.9 408.9 — — 
Trading securities (3)
1.7 1.7 — — 1.6 1.6 — — 
Foreign currency forward contracts (4)
1.8 — 1.8 — 2.6 — 2.6 — 
Total assets $432.9 $430.5 $2.4 $— $413.5 $410.5 $3.0 $— 
Liability:
Foreign currency forward contracts (5)
$2.2 $— $2.2 $— $1.4 $— $1.4 $— 
Contingent consideration (5)
3.1 — — 3.1 4.0 — — 4.0 
Total liabilities$5.3 $— $2.2 $3.1 $5.4 $— $1.4 $4.0 
(1)Included in other non-current assets on the Company’s Consolidated Balance Sheets.
(2)Includes, as of January 1, 2022, $419.6 million in cash and cash equivalents, $3.1 million in restricted cash, and $6.1 million in other non-current assets on the Company’s Consolidated Balance Sheets. Includes, as of July 3, 2021, $401.0 million in cash and cash equivalents, $2.7 million in restricted cash, and $5.2 million in other non-current assets on the Company’s Consolidated Balance Sheets.
(3)Included in short-term investments on the Company’s Consolidated Balance Sheets.
(4)Included in other current assets on the Company’s Consolidated Balance Sheets.
(5)Included in other current liabilities on the Company’s Consolidated Balance Sheets.