Rendering

Component: (Network and Table)
Network
2407405 - Disclosure - Financial Instruments, Long-term Debt (Details)
(http://www.maxim-ic.com/role/FinancialInstrumentsLongTermDebtDetails)
TableSchedule of Long-term Debt Instruments [Table]
Slicers (applies to each fact value in each table cell)
Debt Instrument [Line Items]Period [Axis]
2015-06-28 - 2016-06-25
2014-06-29 - 2015-06-27
2013-06-30 - 2014-06-28
2014-06-27
2013-12-28
2013-03-30
Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]
Fixed Rate Note Due November 2018 at 2 Point 50 Percent [Member]Fxed Rate Note Due March 2023 at 3 Point 375 Percent [Member]Term Fixed Rate Notes Due March 2013 To September 2015 At 2 Point 0 To 2 Point 5 Percent [Member]Amortizing Floating Rate Notes (EURIBOR PLUS 1.5%) Due Up To June 2014 [Member]Unsecured Revolving Credit Facility [Member]Debt Instrument, Name [Domain]Fixed Rate Note Due November 2018 at 2 Point 50 Percent [Member]Fxed Rate Note Due March 2023 at 3 Point 375 Percent [Member]Amortizing Floating Rate Notes (EURIBOR PLUS 1.5%) Due Up To June 2014 [Member]Debt Instrument, Name [Domain]Debt Instrument, Name [Domain]Unsecured Revolving Credit Facility [Member]Fixed Rate Note Due November 2018 at 2 Point 50 Percent [Member]Fxed Rate Note Due March 2023 at 3 Point 375 Percent [Member]Fixed Rate Note Due March 2023 at 3 Point 375 Percent [Member]
Long-term Debt
500,000,000  
500,000,000  
 
0  
  
500,000,000  
500,000,000  
1,024,000  
   
500,000,000  
500,000,000  
 
Debt, Long-term and Short-term, Combined Amount
     
1,250,000,000  
   
1,001,024,000  
     
Short-term Debt
     
(249,717,000) 
   
(1,024,000) 
     
Short-term Debt, Fair Value
     
250,000,000  
   
0  
     
Net Proceeds From Issuance of Long Term Debt 4
            
494,500,000  
  
Long-term Debt, Current Maturities
         
(1,024,000) 
     
Debt Issuance Cost
     
(10,193,000) 
   
(12,313,000) 
     
Long-term debt, excluding current maturities
     
990,090,000  
   
987,687,000  
     
Stated interest rate of the Notes
     
.0169  
      
0.025  
 
0.03375  
proceeds from issuance of long term debt 3
             
490,000,000  
 
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed
     
1.01  
         
Effective interest rate of the Notes
            
.026  
.035  
 
Interest expense relating to the Notes
     
29,400,000  
   
29,400,000  
24,700,000  
    
Amortization of Debt Discount (Premium)
     
1,900,000  
   
2,000,000  
1,100,000  
    
Estimated fair value of long-term debt
     
1,027,000,000  
         
Interest Expense
     
32,700,000  
   
32,500,000  
27,000,000  
    
Line of Credit Facility, Maximum Borrowing Capacity
           
350,000,000  
   
Debt Instrument, Covenant Requirement, Ratio of Debt to EBITDA
    
3  
          
Debt Instrument, Convenant Requirement, minimum interest coverage ratio
    
3.5  
          
Debt Instrument, Interest Rate, Stated Percentage Rate Range, Minimum
  
0.02  
            
Debt Instrument, Basis Spread on Variable Rate
   
0.015  
           
Debt Instrument, Description of Variable Rate Basis
   
EURIBOR