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Restructuring and Other Costs (Schedule of Restructuring Reserve) (Details)
$ in Thousands
3 Months Ended
Jan. 30, 2016
USD ($)
Restructuring  
Initial Period in which Effects are Expected to be Realized Cash payments for facilities that are part of the Company’s lease loss reserve are expected to be paid over the respective lease terms through fiscal year 2021.
Restructuring Reserve Rollforward  
Restructuring liabilities, Beginning balance $ 2,329
Restructuring Charges (566)
Cash payments (252)
Translation adjustment (36)
Restructuring liabilities, Ending balance 1,475
Restructuring Reserve Ending Balance  
Current restructuring liabilities 830
Non-current restructuring liabilities $ 645
Fiscal 2013 Fourth Quarter Restructuring Plan  
Restructuring  
Restructuring and Related Activities, Description During the fiscal year ended October 26, 2013, and the first quarter of fiscal year 2014, the Company restructured certain business operations and reduced the Company’s operating expense structure. The restructuring plan included a workforce reduction, as well as the cancellation of certain nonrecurring engineering agreements and exits from certain leased facilities. The restructuring plan was substantially completed in the first quarter of fiscal year 2014.
Restructuring Reserve, Adjustment Description The Company reevaluates its estimates and assumptions on a quarterly basis and makes adjustments to the restructuring liabilities balance if necessary. During the three months ended January 30, 2016, the Company reversed $0.6 million of charges related to estimated facilities lease losses primarily due to a change in lease terms for a certain facility.
Other Restructuring Plans [Member]  
Restructuring  
Restructuring and Related Activities, Description The Company also recorded charges related to estimated facilities lease losses, net of expected sublease income, due to consolidation of real estate space as a result of acquisitions.
Severance and Benefits | Fiscal 2013 Fourth Quarter Restructuring Plan  
Restructuring Reserve Rollforward  
Restructuring liabilities, Beginning balance $ 110
Restructuring Charges 0
Cash payments 0
Translation adjustment (2)
Restructuring liabilities, Ending balance 108
Restructuring Reserve Ending Balance  
Current restructuring liabilities 108
Non-current restructuring liabilities 0
Lease Loss Reserve and Related Costs | Fiscal 2013 Fourth Quarter Restructuring Plan  
Restructuring Reserve Rollforward  
Restructuring liabilities, Beginning balance 1,811
Restructuring Charges (566)
Cash payments (161)
Translation adjustment (34)
Restructuring liabilities, Ending balance 1,050
Restructuring Reserve Ending Balance  
Current restructuring liabilities 405
Non-current restructuring liabilities 645
Lease Loss Reserve and Related Costs | Other Restructuring Plans [Member]  
Restructuring Reserve Rollforward  
Restructuring liabilities, Beginning balance 408
Restructuring Charges 0
Cash payments (91)
Translation adjustment 0
Restructuring liabilities, Ending balance 317
Restructuring Reserve Ending Balance  
Current restructuring liabilities 317
Non-current restructuring liabilities $ 0