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Derivative Instruments (Tables)
6 Months Ended
Jul. 04, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments The following table presents the fair value of its derivative instruments (in millions):
Asset (Liability)
Fair Values as of
Balance Sheets ClassificationJuly 4,
2026
December 31,
2025
Derivative instruments designated as hedges:
    Foreign exchange contractsPrepaid expenses and other current assets$17 $— 
    Foreign exchange contractsAccrued liabilities— (5)
Total derivative instruments designated as hedges$17 $(5)
Derivative instruments not designated as hedges:
    Foreign exchange contractsPrepaid expenses and other current assets$$— 
    Foreign exchange contractsAccrued liabilities— (2)
Total derivative instruments not designated as hedges$$(2)
Total net derivative asset (liability)$19 $(7)
Schedule of Notional Value and Net Fair Value of Outstanding Contracts The notional values and the net fair values of these outstanding contracts were as follows (in millions):
July 4,
2026
December 31,
2025
Notional balance of outstanding contracts:
British Pound/U.S. Dollar££14 
Euro/U.S. Dollar128 92 
Euro/Czech Koruna12 13 
Japanese Yen/U.S. Dollar¥593 ¥395 
Singapore Dollar/U.S. DollarS$19 S$16 
Mexican Peso/U.S. DollarMex$281 Mex$250 
Polish Zloty/U.S. Dollar28 71 
Net fair value of assets (liabilities) of outstanding contracts$$(2)