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Annual report pursuant to Section 13 and 15(d)

LONG-TERM DEBT (Tables)

v3.19.1
LONG-TERM DEBT (Tables)
12 Months Ended
Mar. 30, 2019
Debt Disclosure [Abstract] Ìý
Schedule of Long-term Debt
(In thousands)
Ìý
March 2019
Ìý
Ìý
March 2018
Ìý
December 2017
3.50% notes, due 2021
Ìý
$
498,450

Ìý
Ìý
$
497,852

Ìý
$
497,705

0.625% notes, due 2023
Ìý
949,049

Ìý
Ìý
1,041,577

Ìý
1,015,500

6.00% notes, due 2033
Ìý
292,982

Ìý
Ìý
292,648

Ìý
292,568

6.45% notes, due 2037
Ìý
346,534

Ìý
Ìý
346,346

Ìý
346,300

Capital leases
Ìý
34,132

Ìý
Ìý
40,397

Ìý
41,881

Total long-term debt
Ìý
2,121,147

Ìý
Ìý
2,218,820

Ìý
2,193,954

Less current portion
Ìý
5,263

Ìý
Ìý
6,265

Ìý
6,165

Long-term debt, due beyond one year
Ìý
$
2,115,884

Ìý
Ìý
$
2,212,555

Ìý
$
2,187,789

Payments of Long-term Debt and Future Minimum Lease Payments
The scheduled payments of long-term debt and future minimum lease payments for capital leases at the end of Fiscal 2019 for the next five fiscal years and thereafter are summarized as follows:
(In thousands)
Notes and Other
Ìý
Capital Leases
Ìý
Total
2020
$
—

Ìý
$
6,293

Ìý
$
6,293

2021
—

Ìý
6,040

Ìý
6,040

2022
500,000

Ìý
2,287

Ìý
502,287

2023
—

Ìý
1,614

Ìý
1,614

2024
953,785

Ìý
1,691

Ìý
955,476

Thereafter
650,000

Ìý
23,495

Ìý
673,495

Ìý
2,103,785

Ìý
41,420

Ìý
2,145,205

Less unamortized debt discount
6,531

Ìý
—

Ìý
6,531

Less unamortized debt issuance costs
10,239

Ìý
—

Ìý
10,239

Less amounts representing interest
—

Ìý
7,288

Ìý
7,288

Total long-term debt
2,087,015

Ìý
34,132

Ìý
2,121,147

Less current portion
—

Ìý
5,263

Ìý
5,263

Long-term debt, due beyond one year
$
2,087,015

Ìý
$
28,869

Ìý
$
2,115,884