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Supplemental Financial Statement Data (Tables)
3 Months Ended
Oct. 02, 2020
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Inventories
Inventories
October 2,
2020
July 3,
2020
(in millions)
Inventories:
Raw materials and component parts$1,426 $1,306 
Work-in-process964 956 
Finished goods965 808 
Total inventories$3,355 $3,070 
Schedule of Property, Plant and Equipment, Net
Property, plant and equipment, net
October 2,
2020
July 3,
2020
(in millions)
Property, plant and equipment:
Land$286 $294 
Buildings and improvements1,865 1,837 
Machinery and equipment7,514 7,391 
Computer equipment and software430 429 
Furniture and fixtures52 52 
Construction-in-process327 297 
Property, plant and equipment, gross10,474 10,300 
Accumulated depreciation(7,577)(7,446)
Property, plant and equipment, net$2,897 $2,854 
Schedule of Goodwill
Goodwill
Carrying Amount
(in millions)
Balance at July 3, 2020$10,067 
Foreign currency translation adjustment
Balance at October 2, 2020$10,069 
Schedule of Intangible Assets
Intangible assets
October 2,
2020
July 3,
2020
(in millions)
Finite-lived intangible assets$5,543 $5,541 
In-process research and development80 80 
Accumulated amortization(4,865)(4,680)
Intangible assets, net$758 $941 
Schedule of Product Warranty Liability
Product warranty liability

Changes in the warranty accrual were as follows:
Three Months Ended
October 2,
2020
October 4,
2019
(in millions)
Warranty accrual, beginning of period$408 $350 
Charges to operations35 49 
Utilization(31)(48)
Changes in estimate related to pre-existing warranties(21)
Warranty accrual, end of period$391 $357 

The current portion of the warranty accrual is classified in Accrued expenses and the long-term portion is classified in Other liabilities as noted below:

October 2,
2020
July 3,
2020
(in millions)
Warranty accrual
Current portion (included in Accrued expenses)$191 $205 
Long-term portion (included in Other liabilities)200 203 
Total warranty accrual$391 $408 
Schedule of Other Liabilities
Other liabilities
October 2,
2020
July 3,
2020
(in millions)
Other liabilities:
Non-current net tax payable$711 $815 
Payables related to unrecognized tax benefits715 720 
Other non-current liabilities885 881 
Total other liabilities$2,311 $2,416 
Schedule of Accumulated Other Comprehensive Income (Loss) The following table illustrates the changes in the balances of each component of AOCI:
Actuarial Pension Gains (Losses)Foreign Currency Translation AdjustmentUnrealized Gains (Losses) on Derivative ContractsTotal Accumulated Comprehensive Income (Loss)
(in millions)
Balance at July 3, 2020$(58)$(2)$(97)$(157)
Other comprehensive loss before reclassifications32 18 51 
Amounts reclassified from accumulated other comprehensive loss— — 12 12 
Income tax benefit (expense) related to items of other comprehensive loss— — (7)(7)
Net current-period other comprehensive loss32 23 56 
Balance at October 2, 2020$(57)$30 $(74)$(101)