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Related Parties and Related Commitments and Contingencies (Tables)
6 Months Ended
Dec. 29, 2023
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Notes Receivable and Investments in Related Parties
The following table presents the notes receivable from, and equity investments in, Flash Ventures:
December 29,
2023
June 30,
2023
(in millions)
Notes receivable, Flash Partners$$37 
Notes receivable, Flash Alliance28 48 
Notes receivable, Flash Forward689 709 
Investment in Flash Partners168 161 
Investment in Flash Alliance279 276 
Investment in Flash Forward171 179 
Total notes receivable and investments in Flash Ventures$1,344 $1,410 
Schedule of 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 December 29, 2023, 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.
December 29,
2023
(in millions)
Notes receivable$726 
Equity investments618 
Operating lease guarantees1,609 
Inventory and prepayments1,058 
Maximum estimable loss exposure$4,011 
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 December 29, 2023.
Lease Amounts
(Japanese yen, in billions)(U.S. dollar, in millions)
Total guarantee obligations¥228 $1,609 
Schedule of 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 December 29, 2023 in U.S. dollars, based upon the Japanese yen to U.S. dollar exchange rate as of December 29, 2023:
Annual InstallmentsPayment of Principal AmortizationPurchase Option Exercise Price at Final Lease TermsGuarantee Amount
(in millions)
Remaining six months of 2024
$237 $57 $294 
2025300 84 384 
2026362 127 489 
2027150 108 258 
202847 104 151 
202930 33 
Total guarantee obligations$1,099 $510 $1,609