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CHANGES IN CONSOLIDATED SHAREHOLDERS’ EQUITY (Unaudited) - USD ($)
$ in Thousands
Total
Common Stock
Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Loss
Treasury Stock
Beginning balance (in shares) at Jul. 02, 2022   765,174,900        
Beginning balance at Jul. 02, 2022 $ 1,382,260 $ 765,175 $ 1,766,305 $ 10,539,722 $ (1,482,054) $ (10,206,888)
Treasury stock, beginning balance (in shares) at Jul. 02, 2022           256,531,543
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net earnings 465,568     465,568    
Foreign currency translation adjustment (232,182)       (232,182)  
Amortization of cash flow hedges, net of tax 2,155       2,155  
Change in cash flow hedges, net of tax (26,390)       (26,390)  
Change in net investment hedges, net of tax 23,509       23,509  
Reclassification of pension and other postretirement benefit plans amounts to net earnings, net of tax 6,965       6,965  
Net actuarial gain arising in current year 0          
Change in marketable securities, net of tax (3,328)       (3,328)  
Dividends declared (248,154)     (248,154)    
Treasury stock purchases (in shares)           3,099,268
Treasury stock purchases (267,727)         $ (267,727)
Share-based compensation awards (in shares)           (1,215,822)
Share-based compensation awards 12,665   (11,896)     $ 24,561
Ending balance (in shares) at Oct. 01, 2022   765,174,900        
Ending balance at Oct. 01, 2022 $ 1,115,341 $ 765,175 1,754,409 10,757,136 (1,711,325) $ (10,450,054)
Treasury stock, ending balance (in shares) at Oct. 01, 2022           258,414,989
Beginning balance (in shares) at Jul. 01, 2023 765,174,900 765,174,900        
Beginning balance at Jul. 01, 2023 $ 2,008,622 $ 765,175 1,814,681 11,310,664 (1,252,590) $ (10,629,308)
Treasury stock, beginning balance (in shares) at Jul. 01, 2023 260,062,834         260,062,834
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net earnings $ 503,392     503,392    
Foreign currency translation adjustment (108,194)       (108,194)  
Amortization of cash flow hedges, net of tax 2,170       2,170  
Change in cash flow hedges, net of tax 27,148       27,148  
Changes in excluded components of fair value hedge, net of tax (20)       (20)  
Change in net investment hedges, net of tax 0          
Reclassification of pension and other postretirement benefit plans amounts to net earnings, net of tax 5,128       5,128  
Net actuarial gain arising in current year 503       503  
Change in marketable securities, net of tax (945)       (945)  
Dividends declared (253,132)     (253,132)    
Treasury stock purchases (in shares)           1,382,947
Treasury stock purchases (99,974)         $ (99,974)
Share-based compensation awards (in shares)           (474,020)
Share-based compensation awards $ 41,101   24,305     $ 16,796
Ending balance (in shares) at Sep. 30, 2023 765,174,900 765,174,900        
Ending balance at Sep. 30, 2023 $ 2,125,799 $ 765,175 $ 1,838,986 $ 11,560,924 $ (1,326,800) $ (10,712,486)
Treasury stock, ending balance (in shares) at Sep. 30, 2023 260,971,761         260,971,761