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Consolidated Statements of Operations and Comprehensive Loss - USD ($)
shares in Thousands, $ in Thousands
3 Months Ended 9 Months Ended
Mar. 28, 2025
Mar. 29, 2024
Mar. 28, 2025
Mar. 29, 2024
Income Statement [Abstract]        
Net revenues $ 211,358 $ 208,258 $ 638,914 $ 586,712
Cost of revenues 154,248 167,616 469,188 464,023
Gross margin 57,110 40,642 169,726 122,689
Operating expenses:        
Selling, general and administrative 43,044 43,157 116,698 123,421
Research and development 15,983 21,563 55,734 81,911
Amortization of intangible assets 10,185 11,533 32,574 36,350
Restructuring and other charges 4,931 9,841 7,231 19,389
Acquisition costs and other related expenses 311 204 666 1,404
Total operating expenses 74,454 86,298 212,903 262,475
Loss from operations (17,344) (45,656) (43,177) (139,786)
Interest income 1,290 542 2,240 674
Interest expense (8,068) (9,319) (25,404) (25,856)
Other income (expense), net 2,304 (2,784) (2,900) (5,706)
Loss before income tax benefit (21,818) (57,217) (69,241) (170,674)
Income tax benefit (2,648) (12,643) (14,967) (43,811)
Net loss $ (19,170) $ (44,574) $ (54,274) $ (126,863)
Basic net loss per share (in dollars per share) $ (0.33) $ (0.77) $ (0.93) $ (2.20)
Diluted net loss per share (in dollars per share) $ (0.33) $ (0.77) $ (0.93) $ (2.20)
Weighted-average shares outstanding:        
Basic (in shares) 58,749 57,698 58,614 57,536
Diluted (in shares) 58,749 57,698 58,614 57,536
Comprehensive loss:        
Net loss $ (19,170) $ (44,574) $ (54,274) $ (126,863)
Change in fair value of derivative instruments, net of tax (1,876) 3,064 (3,991) (1,058)
Foreign currency translation adjustments (256) (459) 27 370
Deferred compensation and pension benefit plan, net of tax (79) (56) (172) (169)
Total other comprehensive (loss) income, net of tax (2,211) 2,549 (4,136) (857)
Total comprehensive loss $ (21,381) $ (42,025) $ (58,410) $ (127,720)