Financial Instruments (Tables)
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6 Months Ended |
Jun. 29, 2024 |
Investments, Debt and Equity Securities [Abstract] |
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Fair Value, Assets Measured on Recurring Basis |
Financial Instruments Recorded at Fair Value on a Recurring Basis
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June 29, 2024 |
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December 30, 2023 |
(In millions) |
Level 1 |
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Level 2 |
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Total |
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Level 1 |
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Level 2 |
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Total |
Cash equivalents |
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Money market funds |
$ |
1,229 |
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$ |
— |
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$ |
1,229 |
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$ |
969 |
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$ |
— |
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$ |
969 |
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Corporate debt securities |
— |
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995 |
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995 |
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— |
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753 |
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753 |
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U.S. government and agency securities |
724 |
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— |
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724 |
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1,252 |
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— |
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1,252 |
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Non-U.S. government and agency securities |
— |
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149 |
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149 |
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— |
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135 |
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135 |
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Time deposits and certificates of deposits |
— |
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151 |
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151 |
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— |
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205 |
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205 |
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Short-term investments |
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Corporate debt securities |
— |
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302 |
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302 |
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— |
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506 |
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506 |
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Time deposits and certificates of deposits |
— |
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10 |
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10 |
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— |
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9 |
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9 |
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Asset-backed and mortgage-backed securities |
— |
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31 |
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31 |
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— |
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34 |
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34 |
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U.S. government and agency securities |
818 |
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43 |
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861 |
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1,209 |
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28 |
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1,237 |
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Non-U.S. government and agency securities |
— |
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23 |
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23 |
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— |
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54 |
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54 |
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Other non-current assets |
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Deferred compensation plan investments |
153 |
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— |
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153 |
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133 |
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— |
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133 |
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Total assets measured at fair value |
$ |
2,924 |
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$ |
1,704 |
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$ |
4,628 |
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$ |
3,563 |
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$ |
1,724 |
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$ |
5,287 |
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Summary of Investment Holdings, Schedule of Investments |
The following is a summary of cash equivalents and short-term investments:
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June 29, 2024 |
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December 30, 2023 |
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Cost/ Amortized Cost |
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Gross Unrealized Gains |
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Gross Unrealized Losses |
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Estimated Fair Value |
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Cost/ Amortized Cost |
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Gross Unrealized Gains |
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Gross Unrealized Losses |
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Estimated Fair Value |
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(in millions) |
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(in millions) |
Asset-backed and mortgage-backed securities |
$ |
33 |
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$ |
— |
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$ |
(2) |
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$ |
31 |
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$ |
35 |
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$ |
— |
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$ |
(2) |
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$ |
33 |
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Corporate debt securities |
1,298 |
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— |
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(1) |
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1,297 |
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1,259 |
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— |
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— |
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1,259 |
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Money market funds |
1,229 |
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— |
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— |
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1,229 |
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969 |
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— |
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— |
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969 |
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Time deposits and certificates of deposits |
161 |
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— |
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— |
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161 |
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214 |
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— |
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— |
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214 |
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U.S. government and agency securities |
1,586 |
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— |
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(1) |
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1,585 |
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2,487 |
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3 |
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— |
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2,490 |
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Non-U.S. government and agency securities |
172 |
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— |
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— |
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172 |
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189 |
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— |
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— |
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189 |
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$ |
4,479 |
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$ |
— |
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$ |
(4) |
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$ |
4,475 |
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$ |
5,153 |
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$ |
3 |
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$ |
(2) |
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$ |
5,154 |
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Investments Classified by Contractual Maturity Date |
The contractual maturities of cash equivalents and investments classified as available-for-sale are as follows:
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June 29, 2024 |
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December 30, 2023 |
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Amortized Cost |
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Fair Value |
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Amortized Cost |
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Fair Value |
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(In millions) |
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(In millions) |
Due within 1 year |
$ |
2,762 |
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$ |
2,762 |
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$ |
3,792 |
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$ |
3,792 |
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Due in 1 year through 5 years |
459 |
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457 |
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361 |
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364 |
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Due in 5 years and later |
29 |
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27 |
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32 |
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30 |
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$ |
3,250 |
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$ |
3,246 |
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$ |
4,185 |
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$ |
4,186 |
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Financial Instruments Not Recorded at Fair Value |
The Company carries its financial instruments at fair value except for its debt. The carrying amounts and estimated fair values of the Company’s debt are as follows:
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June 29, 2024 |
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December 30, 2023 |
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Carrying Amount |
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Estimated Fair Value |
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Carrying Amount |
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Estimated Fair Value |
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(In millions) |
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(In millions) |
Current portion of long-term debt, net |
$ |
— |
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$ |
— |
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$ |
751 |
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$ |
741 |
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Long-term debt, net of current portion |
$ |
1,719 |
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$ |
1,537 |
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$ |
1,717 |
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$ |
1,630 |
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