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Commitments, Contingencies and Related Parties (Tables)
9 Months Ended
Mar. 29, 2019
Commitments and Contingencies Disclosure [Abstract]  
Notes Receivable and Investments in Related Parties
The following table presents the notes receivable from, and equity investments in, Flash Ventures as of March 29, 2019 and June 29, 2018:
 
March 29,
2019
 
June 29,
2018
 
(in millions)
Notes receivable, Flash Partners
$
620

 
$
767

Notes receivable, Flash Alliance
599

 
48

Notes receivable, Flash Forward
584

 
700

Investment in Flash Partners
194

 
191

Investment in Flash Alliance
287

 
283

Investment in Flash Forward
119

 
116

Total notes receivable and investments in Flash Ventures
$
2,403

 
$
2,105

Variable Interest Entity Maximum Loss Exposure
The Company’s maximum reasonably estimable loss exposure (excluding lost profits) as a result of its involvement with Flash Ventures, based upon the Japanese yen to U.S. dollar exchange rate at March 29, 2019, is presented below. Investments in Flash Ventures are denominated in Japanese yen, and the maximum estimable loss exposure excludes any cumulative translation adjustment due to revaluation from the Japanese yen to the U.S. dollar.
 
March 29,
2019
 
 
Notes receivable
$
1,803

Equity investments
600

Operating lease guarantees
1,421

Inventory
274

Maximum estimable loss exposure
$
4,098


Schedule of Guarantor Obligations
The following table presents the Company’s portion of the remaining guarantee obligations under the Flash Ventures’ lease facilities in both Japanese yen and U.S. dollar-equivalent, based upon the Japanese yen to U.S. dollar exchange rate as of March 29, 2019.
 
Lease Amounts
 
(Japanese yen, in billions)
 
(U.S. dollar, in millions)
Total guarantee obligations
¥
157

 
$
1,421

Remaining Guarantee Obligations
The following table details the breakdown of the Company’s remaining guarantee obligations between the principal amortization and the purchase option exercise price at the end of the term of the Flash Ventures lease agreements, in annual installments as of March 29, 2019 in U.S. dollars, based upon the Japanese yen to U.S. dollar exchange rate as of March 29, 2019:
Annual Installments
 
Payment of Principal Amortization
 
Purchase Option Exercise Price at Final Lease Terms
 
Guarantee Amount
 
 
(in millions)
Remaining three months of 2019
 
$
106

 
$
9

 
$
115

2020
 
360

 
64

 
424

2021
 
271

 
106

 
377

2022
 
185

 
48

 
233

2023
 
81

 
28

 
109

Thereafter
 
45

 
118


163

Total guarantee obligations
 
$
1,048

 
$
373

 
$
1,421

Schedule of Long-term Purchase Commitments
As of March 29, 2019, the Company had the following minimum long-term purchase commitments:
 
 
Long-term purchase commitments
 
 
(in millions)
Fiscal year
 
 
Remaining three months of 2019
 
$
15

2020
 
192

2021
 
208

2022
 
227

2023 and thereafter
 
250

Total
 
$
892