<ARTICLE>5
<LEGEND>
   THE FOLLOWING FINANCIAL DATA SCHEDULES HAVE BEEN RESTATED TO REFLECT THE
   ADOPTION OF SFAS 128.
</LEGEND>
<RESTATED>
<MULTIPLIER>1,000,000         
       
                                                                            
<PERIOD-TYPE>             6-MOS               9-MOS                 YEAR                YEAR
<FISCAL-YEAR-END>                 DEC-27-1996          DEC-27-1996         DEC-27-1996         DEC-29-1995
<PERIOD-END>                      JUN-28-1996          SEP-27-1996         DEC-27-1996         DEC-29-1995
<CASH>                                    170                  170                 682                 320
<SECURITIES>                              380                  345                   0                 340
<RECEIVABLES>                             922                  928                 991                 832
<ALLOWANCES>                                0                    0                  97                   0
<INVENTORY>                               241                  217                 229                 220
<CURRENT-ASSETS>                        1,979                1,919               2,072               1,935
<PP&E>                                 16,954               17,182              17,420              16,673
<DEPRECIATION>                          5,376                5,462               5,514               5,376
<TOTAL-ASSETS>                         14,531               14,641              16,965              14,282
<CURRENT-LIABILITIES>                   2,834                2,699               2,757               2,991
<BONDS>                                 2,271                2,288               4,331               2,222
<PREFERRED-MANDATORY>                       0                    0                   0                 210
<PREFERRED>                                 0                    0                   0                   0
<COMMON>                                  212                  217                 217                   0
<OTHER-SE>                              4,355                4,598               4,778               4,032
<TOTAL-LIABILITY-AND-EQUITY>           14,531               14,641              16,965              14,282
<SALES>                                     0                    0                   0                   0
<TOTAL-REVENUES>                        5,186                7,833              10,536              10,504
<CGS>                                       0                    0                   0                   0
<TOTAL-COSTS>                           4,482                6,737               9,014               9,075
<OTHER-EXPENSES>                            0                    0                   0                 257
<LOSS-PROVISION>                            0                    0                   0                   0
<INTEREST-EXPENSE>                        131                  188                 249                 270
<INCOME-PRETAX>                           584                  927               1,316                 974
<INCOME-TAX>                              204                  325                 461                 356
<INCOME-CONTINUING>                       380                  602                 855                 618
<DISCONTINUED>                              0                    0                   0                   0
<EXTRAORDINARY>                             0                    0                   0                   0
<CHANGES>                                   0                    0                   0                   0
<NET-INCOME>                              380                  602                 855                 618
<EPS-PRIMARY>                            1.80                 2.83                4.00                2.94
<EPS-DILUTED>                            1.78                 2.80                3.96                2.91