Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUE MEASUREMENTS - Measured on Recurring Basis (Details)

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FAIR VALUE MEASUREMENTS - Measured on Recurring Basis (Details) - USD ($)
$ in Thousands
Dec. 26, 2020
Mar. 28, 2020
Dec. 28, 2019
Financial assets:      
Short-term investments $ 599,403    
Derivative financial instruments 16,209 $ 91,834 $ 51,643
Deferred compensation 135,710 105,706  
Financial liabilities:      
Derivative financial instruments 97,835 14,531 $ 42,979
Deferred compensation 148,179 113,289  
Level 1      
Financial assets:      
Short-term investments 599,403    
Derivative financial instruments 0 0  
Deferred compensation 135,710 105,706  
Financial liabilities:      
Derivative financial instruments 0 0  
Deferred compensation 0 0  
Level 2      
Financial assets:      
Short-term investments 0    
Derivative financial instruments 16,209 91,834  
Deferred compensation 0 0  
Financial liabilities:      
Derivative financial instruments 97,835 14,531  
Deferred compensation 148,179 113,289  
Level 3      
Financial assets:      
Short-term investments 0    
Derivative financial instruments 0 0  
Deferred compensation 0 0  
Financial liabilities:      
Derivative financial instruments 0 0  
Deferred compensation 0 0  
Money market funds      
Financial assets:      
Cash equivalents: 546,719 1,211,887  
Money market funds | Level 1      
Financial assets:      
Cash equivalents: 546,719 1,211,887  
Money market funds | Level 2      
Financial assets:      
Cash equivalents: 0 0  
Money market funds | Level 3      
Financial assets:      
Cash equivalents: 0 0  
Time deposits      
Financial assets:      
Cash equivalents: 17,408 1,932  
Time deposits | Level 1      
Financial assets:      
Cash equivalents: 17,408 1,932  
Time deposits | Level 2      
Financial assets:      
Cash equivalents: 0 0  
Time deposits | Level 3      
Financial assets:      
Cash equivalents: $ 0 $ 0