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DEBT (Narrative) (Details) - USD ($)
$ in Millions
12 Months Ended
Jun. 25, 2025
Jun. 28, 2023
Mar. 26, 2025
Debt [Line Items]      
Revolving credit facility amendments, debt issuance costs $ 3.6    
Covenant compliance we were in compliance with our covenants    
8.25% notes      
Debt [Line Items]      
Stated interest rate 8.25%    
Proceeds from issuance of debt   $ 350.0  
Senior notes maturity date Jul. 15, 2030    
$900.0M Revolving Credit Facility      
Debt [Line Items]      
Revolving credit facility, maximum borrowing capacity     $ 900.0
$1.0B Revolving Credit Facility      
Debt [Line Items]      
Revolving credit facility, maximum borrowing capacity $ 1,000.0    
Revolving credit facility expiration date May 01, 2030    
Revolving credit facility, variable rate basis SOFR    
Basis spread on variable rate 1.50%    
Revolving credit facility interest rate at end of period 5.82%    
Revolving credit facility base rate at end of period (SOFR) 4.32%    
Remaining credit available under revolving credit facility $ 1,000.0    
$1.0B Revolving Credit Facility | Maximum      
Debt [Line Items]      
Basis spread on variable rate 2.00%    
Revolving credit facility undrawn commitment fee percentage 0.30%    
$1.0B Revolving Credit Facility | Minimum      
Debt [Line Items]      
Basis spread on variable rate 1.25%    
Revolving credit facility undrawn commitment fee percentage 0.20%