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Balance Sheet Information (Tables)
3 Months Ended
Mar. 30, 2014
Balance Sheet Information [Abstract]  
Accounts Receivable, net
Accounts receivable, net was as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Accounts receivable
$
783,573

 
$
904,551

Allowance for doubtful accounts
(7,646
)
 
(8,274
)
Price protection, promotions and other activities
(179,258
)
 
(213,468
)
Total accounts receivable, net
$
596,669

 
$
682,809



Inventory
Inventory was as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Raw material
$
467,721

 
$
440,570

Work-in-process
118,249

 
102,543

Finished goods
213,913

 
213,862

Total inventory
$
799,883

 
$
756,975

Other Current Assets
Other current assets were as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Income tax receivables
$
70,200

 
$
7,976

Other tax-related receivables
55,124

 
62,784

Other non-trade receivables
15,425

 
37,368

Prepayment to Flash Forward Ltd.

 
5,144

Derivative contract receivables
25

 
777

Prepaid expenses
12,715

 
12,630

Convertible note issuance costs
6,355

 

Other current assets
17,688

 
40,206

Total other current assets
$
177,532

 
$
166,885

Notes Receivable and Investments in the Flash Ventures with Toshiba
Notes receivable and investments in Flash Partners Ltd., Flash Alliance Ltd. and Flash Forward Ltd. (collectively referred to as “Flash Ventures”) were as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Notes receivable, Flash Partners Ltd.
$
77,904

 
$
100,057

Notes receivable, Flash Alliance Ltd.
355,439

 
323,995

Notes receivable, Flash Forward Ltd.
172,850

 
169,144

Investment in Flash Partners Ltd.
194,222

 
190,694

Investment in Flash Alliance Ltd.
290,776

 
283,999

Investment in Flash Forward Ltd.
68,073

 
66,731

Total notes receivable and investments in Flash Ventures
$
1,159,264

 
$
1,134,620

Other Noncurrent Assets
Other non-current assets were as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Prepaid tax on intercompany transactions
$
36,654

 
$
37,747

Convertible note issuance costs
13,283

 
20,612

Long-term prepaid income tax
3,168

 
66,176

Other non-current assets
42,225

 
42,895

Total other non-current assets
$
95,330

 
$
167,430

Other Current Accrued Liabilities
Other current accrued liabilities were as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Accrued payroll and related expenses
$
155,434

 
$
227,779

Derivative contract payables
17,129

 
45,741

Taxes payable
12,585

 
59,618

Other accrued liabilities
163,978

 
176,594

Total other current accrued liabilities
$
349,126

 
$
509,732

Non Current liabilities
Non-current liabilities were as follows (in thousands):
 
March 30,
2014
 
December 29,
2013
Income tax liabilities
206,888

 
205,266

Deferred credits on intercompany transactions
11,874

 
15,065

Deferred tax liabilities
$
4,336

 
$
3,482

Other non-current liabilities
88,236

 
83,270

Total non-current liabilities
$
311,334

 
$
307,083

Schedule of Product Warranty Liability
The liability for warranty expense is included in Other current accrued liabilities and Non-current liabilities in the accompanying Consolidated Balance Sheets, and the activity was as follows (in thousands):
 
Three months ended
 
March 30,
2014
 
March 31,
2013
Balance, beginning of period
$
43,624

 
$
38,787

Additions and adjustments to cost of revenue
7,431

 
4,878

Usage
(3,490
)
 
(4,693
)
Balance, end of period
$
47,565

 
$
38,972


Schedule of Accumulated Other Comprehensive Income (Loss)
AOCI presented in the accompanying Condensed Consolidated Balance Sheets consists of unrealized gains and losses on available-for-sale investments, foreign currency translation and hedging activities, net of tax, for all periods presented (in thousands):
 
March 30,
2014
 
December 29,
2013
Accumulated net unrealized gain (loss) on:
 
 
 
Available-for-sale investments
$
11,157

 
$
10,479

Foreign currency translation
(26,729
)
 
(47,440
)
Hedging activities
(24,466
)
 
(39,498
)
Total accumulated other comprehensive loss
$
(40,038
)
 
$
(76,459
)
Allocation Of Amount Of Income Tax Benefit Expense
The amount of income tax expense (benefit) allocated to the unrealized gain (loss) on available-for-sale investments and foreign currency translation activities was as follows (in thousands):
 
Three months ended
 
March 30,
2014
 
March 31,
2013
Available-for-sale investments
$
377

 
$
2,053

Foreign currency translation
3,771

 
(18,311
)
Total income tax expense (benefit) allocated
$
4,148

 
$
(16,258
)
Reclassification Of Accumulated Other Comprehensive Income Amounts
The significant amounts reclassified out of each component of AOCI were as follows (in thousands):
 
 
Three months ended
 
 
AOCI Component
 
March 30,
2014
 
March 31,
2013
 
Statement of Operations
 Line Item
Unrealized gain (loss) on available-for-sale investments
 
$
570

 
$
(314
)
 
Interest (expense) and other income (expense), net
Tax impact
 
(195
)
 
(175
)
 
Provision for income taxes
Unrealized gain (loss) on available-for-sale investments, net of tax
 
375

 
(489
)
 
 
Unrealized holding loss on derivatives:
 
 
 
 
 
 
Foreign exchange contracts
 
(1,361
)
 
(1,441
)
 
Cost of revenue
Foreign exchange contracts
 
(203
)
 

 
Research and development
Loss on cash flow hedging activities
 
(1,564
)
 
(1,441
)
 
 
Total reclassifications for the period, net of tax
 
$
(1,189
)
 
$
(1,930
)