v3.26.1
Debt - Narrative (Details) - USD ($)
$ in Millions
1 Months Ended 3 Months Ended 9 Months Ended
Feb. 28, 2026
Dec. 26, 2025
Jun. 26, 2026
Jun. 27, 2025
Sep. 26, 2025
Debt          
Repayment of debt     $ 851 $ 580  
Fair value of debt     $ 5,602   $ 5,725
Commercial paper          
Debt          
Weighted-average interest rate (as a percent)     3.95%    
Commercial Paper     $ 100   0
4.50% senior notes due 2031          
Debt          
Debt instrument principal amount $ 200   $ 650   $ 450
Debt instrument, interest rate (as a percent) 4.50%   4.50%   4.50%
4.875% senior notes due 2036          
Debt          
Debt instrument principal amount $ 550        
Debt instrument, interest rate (as a percent) 4.875%        
4.50% senior notes due 2026          
Debt          
Repayment of debt     $ 500    
Debt instrument, interest rate (as a percent)     4.50%    
3.70% senior notes due 2026          
Debt          
Repayment of debt     $ 350    
Debt instrument, interest rate (as a percent)     3.70%    
Replaced Five-Year Credit Facility          
Debt          
Revolving credit facility term   5 years      
Maximum borrowing capacity   $ 1,500      
Borrowings outstanding under credit agreement         $ 0
Five-Year unsecured senior revolving credit facility          
Debt          
Revolving credit facility term 5 years        
Maximum borrowing capacity $ 3,000        
Incremental borrowing capacity $ 1,000        
Borrowings outstanding under credit agreement     $ 0    
Five-Year unsecured senior revolving credit facility | Minimum          
Debt          
Annual facility fee, basis points (as a percent) 0.05%        
Five-Year unsecured senior revolving credit facility | Maximum          
Debt          
Annual facility fee, basis points (as a percent) 0.125%        
Five-Year unsecured senior revolving credit facility | Term SOFR          
Debt          
Debt instrument description of variable rate basis Term SOFR, plus margin based on debt rating        
Five-Year unsecured senior revolving credit facility | Bank of America Base Rate          
Debt          
Debt instrument description of variable rate basis Bank of America base rate, plus margin based on debt rating        
Five-Year unsecured senior revolving credit facility | Federal funds effective rate          
Debt          
Debt instrument description of variable rate basis federal funds effective rate, plus margin based on debt rating        
Debt instrument basis spread on variable rate (as a percent) 0.50%        
Five-Year unsecured senior revolving credit facility | One-Month SOFR          
Debt          
Debt instrument description of variable rate basis Term SOFR for a one-month interest period, plus margin based on debt rating        
Debt instrument basis spread on variable rate (as a percent) 1.00%        
Five-Year unsecured senior revolving credit facility | Alternative base rate          
Debt          
Debt instrument basis spread on variable rate (as a percent) 1.00%        
Five-Year unsecured senior revolving credit facility | Euro Interbank Offered Rate          
Debt          
Debt instrument description of variable rate basis Euro Interbank Offered Rate, plus margin based on debt rating        
Five-Year unsecured senior revolving credit facility | Sterling Overnight Index Average Reference Rate          
Debt          
Debt instrument description of variable rate basis Sterling Overnight Index Average Reference Rate, plus margin based on debt rating        
Five-Year unsecured senior revolving credit facility | Tokyo Interbank Offered Rate          
Debt          
Debt instrument description of variable rate basis Tokyo Interbank Offered Rate, plus margin based on debt rating