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BALANCE SHEET DETAILS (Tables)
9 Months Ended
Mar. 29, 2014
Balance Sheet Details [Abstract]  
Schedule of Cash and Cash Equivalents
The following table provides details regarding our cash and cash equivalents at the dates indicated:
 
March 29, 2014
 
June 29, 2013
 
(Thousands)
Cash and cash equivalents:
 
     Cash-in-bank
$
116,221

 
$
82,634

     Money market funds
1,220

 
2,001

 
$
117,441

 
$
84,635

Schedule of Inventories
The following table provides details regarding our inventories at the dates indicated:
 
March 29, 2014
 
June 29, 2013
 
(Thousands)
Inventories:
 
Raw materials
$
28,576

 
$
32,678

Work-in-process
22,668

 
26,760

Finished goods
30,417

 
26,591

 
$
81,661

 
$
86,029

Schedule of Property and Equipment, Net
The following table provides details regarding our property and equipment, net at the dates indicated:
 
March 29, 2014
 
June 29, 2013
 
(Thousands)
Property and equipment, net:
 
Buildings and improvements
$
13,030

 
$
10,271

Plant and machinery
48,449

 
72,144

Fixtures, fittings and equipment
8,991

 
4,295

Computer equipment
14,296

 
13,940

 
84,766

 
100,650

Less: Accumulated depreciation
(31,455
)
 
(28,622
)
 
$
53,311

 
$
72,028

Schedule of Accrued Expenses and Other Liabilities
The following table presents details regarding our accrued expenses and other liabilities at the dates indicated:
 
March 29, 2014
 
June 29, 2013
 
(Thousands)
Accrued expenses and other liabilities:
 
Trade payables
$
11,738

 
$
10,391

Compensation and benefits related accruals
10,401

 
13,117

Warranty accrual
5,137

 
4,670

Accrued restructuring charges, current
1,556

 
5,363

Other accruals
18,408

 
18,469

 
$
47,240

 
$
52,010

Activity Related to Our Restructuring Liability
The following table summarizes the activity related to our accrued restructuring charges for the nine months ended March 29, 2014:
 
Lease Cancellations,
Commitments and
Other Charges
 
Termination
Payments to
Employees and
Related Costs
 
Total Accrued
Restructuring Charges
 
(Thousands)
Balance at June 29, 2013
$
230

 
$
7,036

 
$
7,266

Charged to restructuring costs
375

 
11,555

 
11,930

Paid or written-off
(605
)
 
(13,981
)
 
(14,586
)
Balance at March 29, 2014
$

 
$
4,610

 
$
4,610

Current portion

 
1,556

 
1,556

Non-current portion

 
3,054

 
3,054

Components of Accumulated Other Comprehensive Income
The following table presents the components of accumulated other comprehensive income at the dates indicated:
 
March 29, 2014
 
June 29, 2013
 
(Thousands)
Accumulated other comprehensive income:
 
Currency translation adjustments
$
45,655

 
$
45,719

Unrealized loss on marketable securities
(144
)
 
(105
)
Switzerland and Japan defined benefit plans
(398
)
 
(6,246
)
 
$
45,113

 
$
39,368