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Annual report pursuant to Section 13 and 15(d)

LONG-TERM DEBT (Tables)

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LONG-TERM DEBT (Tables)
12 Months Ended
Mar. 30, 2024
Debt Disclosure [Abstract] Ìý
Schedule of Long-term Debt
(In thousands) March 2024 March 2023
0.625% notes, due September 2023 ("2023 notes")
$ —Ìý $ 923,354Ìý
Delayed Draw Term Loan Agreement, due December 2024 999,740Ìý 999,269Ìý
2.400% notes, due April 2025 ("2025 notes")
748,385Ìý 746,933Ìý
4.125% notes, due March 2026 ("2026 notes")
536,553Ìý 539,121Ìý
2.800% notes, due April 2027 ("2027 notes")
497,713Ìý 497,029Ìý
0.250% notes, due February 2028 ("2028 notes")
535,849Ìý 538,923Ìý
4.250% notes, due March 2029 ("2029 notes")
534,690Ìý 537,809Ìý
2.950% notes, due April 2030 ("2030 notes")
744,986Ìý 744,246Ìý
0.625% notes, due February 2032 ("2032 notes")
531,760Ìý 534,763Ìý
6.000% notes, due October 2033 ("2033 notes")
272,255Ìý 271,869Ìý
6.450% notes, due November 2037 ("2037 notes")
284,915Ìý 284,765Ìý
Finance leases 16,159Ìý 17,238Ìý
Total long-term debt 5,703,005Ìý 6,635,319Ìý
Less current portion 1,000,721Ìý 924,305Ìý
Long-term debt, due beyond one year $ 4,702,284Ìý $ 5,711,014Ìý
Scheduled Payments of Long-term Debt
The scheduled payments of long-term debt, excluding finance leases (Note 10), at the end of Fiscal 2024 for the next five fiscal years and thereafter are summarized as follows:
(In thousands) Notes and Other
2025 $ 1,000,000Ìý
2026 1,289,450Ìý
2027 —Ìý
2028 1,039,450Ìý
2029 539,450Ìý
Thereafter 1,853,423Ìý
5,721,773Ìý
Less unamortized debt discount 15,077Ìý
Less unamortized debt issuance costs 19,850Ìý
Total long-term debt 5,686,846Ìý
Less current portion 999,740Ìý
Long-term debt, due beyond one year $ 4,687,106Ìý