v3.25.2
Debt - Additional Information (Details)
$ / shares in Units, shares in Millions
1 Months Ended 12 Months Ended
Feb. 01, 2024
USD ($)
Nov. 03, 2023
USD ($)
$ / shares
$ / Unit
Nov. 02, 2023
day
Jun. 27, 2025
USD ($)
$ / Unit
Apr. 30, 2025
USD ($)
Jun. 27, 2025
USD ($)
$ / Unit
shares
Jun. 28, 2024
USD ($)
Jun. 30, 2023
USD ($)
Mar. 28, 2025
$ / Unit
Feb. 21, 2025
$ / shares
Feb. 20, 2025
USD ($)
Feb. 19, 2025
USD ($)
Dec. 31, 2021
USD ($)
Feb. 28, 2018
USD ($)
Debt Instrument [Line Items]                            
Loss on extinguishment of debt           $ 100,000,000 $ 0 $ 0            
Cost of capped calls           155,000,000                
Deferred tax assets       $ 37,000,000   37,000,000                
Variable interest rate Term Loan A-3 maturing 2027                            
Debt Instrument [Line Items]                            
Repayment of debt           138,000,000                
Quarterly installment payments           31,000,000                
Unamortized costs       $ 7,000,000   $ 7,000,000                
Debt instrument, interest rate (as percent)       5.918%   5.918%                
Variable interest rate Term Loan A-3 maturing 2027 | Secured Overnight Financing Rate (SOFR)                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.50%                
Variable interest rate Term Loan A-3 maturing 2027 | Secured Overnight Financing Rate (SOFR) | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.125%                
Variable interest rate Term Loan A-3 maturing 2027 | Secured Overnight Financing Rate (SOFR) | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           2.00%                
Variable interest rate Term Loan A-3 maturing 2027 | Base Rate | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           0.125%                
Variable interest rate Term Loan A-3 maturing 2027 | Base Rate | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.00%                
Variable interest rate Term Loan A-3 maturing 2027 | Revolving Credit Facility                            
Debt Instrument [Line Items]                            
Debt instrument, face amount                     $ 2,510,000,000      
Settlement of debt       $ 800,000,000                    
Settlement of debt, non-cash exchange (in shares) | shares           21.3                
Cash payment for settlement of debt       4,000,000                    
Loss on extinguishment of debt       100,000,000                    
Revolving Credit Facility, 2027 | Revolving Credit Facility                            
Debt Instrument [Line Items]                            
Credit facility capacity       $ 1,250,000,000   $ 1,250,000,000         $ 1,250,000,000 $ 2,250,000,000    
Repayments of debt           $ 150,000,000                
Commitment fee (as percent)           0.20%                
Covenant, leverage ratio, maximum       0.000375   0.000375                
Covenant, leverage ratio, minimum       0.000325   0.000325                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Minimum                            
Debt Instrument [Line Items]                            
Commitment fee (as percent)           0.12%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Maximum                            
Debt Instrument [Line Items]                            
Commitment fee (as percent)           0.35%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Secured Overnight Financing Rate (SOFR)                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.375%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Secured Overnight Financing Rate (SOFR) | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.125%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Secured Overnight Financing Rate (SOFR) | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           2.00%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Base Rate | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           0.125%                
Revolving Credit Facility, 2027 | Revolving Credit Facility | Base Rate | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate (as percent)           1.00%                
4.75% senior unsecured notes due 2026                            
Debt Instrument [Line Items]                            
Debt instrument, interest rate (as percent)       4.75%   4.75% 4.75%              
4.75% senior unsecured notes due 2026 | Senior Notes                            
Debt Instrument [Line Items]                            
Debt instrument, face amount                           $ 2,300,000,000
Debt instrument, interest rate (as percent)                           4.75%
Senior notes redeemed         $ 1,800,000,000                  
2028 Convertible Notes, 3.00% | Convertible Debt                            
Debt Instrument [Line Items]                            
Debt instrument, face amount   $ 1,600,000,000                        
Unamortized costs       $ 25,000,000   $ 25,000,000                
Debt instrument, interest rate (as percent)   3.00%                        
Debt issuance costs, net   $ 37,000,000                        
Conversion price (in dollars per share) | $ / shares   $ 37.82               $ 52.20        
Net proceeds from convertible notes   $ 1,560,000,000                        
Strike price (in dollars per share) | $ / Unit   52.20             37.82          
Initial cap price (in dollars per share) | $ / Unit       50.53   50.53                
2028 Convertible Notes, 3.00% | Convertible Debt | Debt Instrument, Redemption, Period One                            
Debt Instrument [Line Items]                            
Conversion price percentage     130.00%                      
Conversion, trading days | day     20                      
Consecutive trading-day period | day     30                      
2028 Convertible Notes, 3.00% | Convertible Debt | Debt Instrument, Redemption, Period Two                            
Debt Instrument [Line Items]                            
Conversion price percentage     130.00%                      
Conversion, trading days | day     10                      
Consecutive trading-day period | day     20                      
2.85% senior notes due 2029                            
Debt Instrument [Line Items]                            
Debt instrument, interest rate (as percent)       2.85%   2.85% 2.85%              
2.85% senior notes due 2029 | Senior Notes                            
Debt Instrument [Line Items]                            
Debt instrument, face amount                         $ 500,000,000  
Debt instrument, interest rate (as percent)       2.85%   2.85%             2.85%  
3.100% senior unsecured notes due 2032 | Senior Notes                            
Debt Instrument [Line Items]                            
Debt instrument, face amount                         $ 500,000,000  
Debt instrument, interest rate (as percent)       3.10%   3.10%             3.10%  
Convertible Senior Notes Due 2024 | Convertible Debt                            
Debt Instrument [Line Items]                            
Debt instrument, face amount                           $ 1,100,000,000
Debt instrument, interest rate (as percent)                           1.50%
Repurchase amount $ 508,000,000                          
Aggregate cash principal payment $ 592,000,000