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BALANCE SHEET DETAILS (Tables)
9 Months Ended
Mar. 28, 2015
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 28, 2015
 
June 28, 2014
 
(Thousands)
Cash and cash equivalents:
 
     Cash-in-bank
$
118,594

 
$
97,759

     Money market funds
1,215

 
1,214

 
$
119,809

 
$
98,973

Schedule of Inventories
The following table provides details regarding our inventories at the dates indicated:
 
March 28, 2015
 
June 28, 2014
 
(Thousands)
Inventories:
 
Raw materials
$
17,210

 
$
20,036

Work-in-process
19,987

 
20,505

Finished goods
28,149

 
30,558

 
$
65,346

 
$
71,099

Schedule of Property and Equipment, Net
The following table provides details regarding our property and equipment, net at the dates indicated:
 
March 28, 2015
 
June 28, 2014
 
(Thousands)
Property and equipment, net:
 
Buildings and improvements
$
11,489

 
$
12,989

Plant and machinery
30,055

 
47,247

Fixtures, fittings and equipment
5,623

 
9,701

Computer equipment
12,110

 
13,723

 
59,277

 
83,660

Less: Accumulated depreciation
(17,876
)
 
(32,892
)
 
$
41,401

 
$
50,768

Summary of Other Intangible Assets
The following table summarizes the activity related to our other intangible assets for the nine months ended March 28, 2015:
 
Core and
Current
Technology
 
Development
and Supply
Agreements
 
Customer
Relationships
 
Patent
Portfolio
 
Other
Intangibles
 
Amortization
 
Total
 
(Thousands)
Balance at June 28, 2014
$
8,267

 
$
4,660

 
$
5,143

 
$
915

 
$
3,338

 
$
(13,787
)
 
$
8,536

Sale of Komoro Business
(1,904
)
 

 
(2,545
)
 

 

 

 
(4,449
)
Amortization

 

 

 

 

 
(881
)
 
(881
)
Translations and adjustments
(110
)
 
(107
)
 
(197
)
 

 

 

 
(414
)
Balance at March 28, 2015
$
6,253

 
$
4,553

 
$
2,401

 
$
915

 
$
3,338

 
$
(14,668
)
 
$
2,792

Schedule of Accrued Expenses and Other Liabilities
The following table presents details regarding our accrued expenses and other liabilities at the dates indicated:
 
March 28, 2015
 
June 28, 2014
 
(Thousands)
Accrued expenses and other liabilities:
 
Trade payables
$
5,342

 
$
18,612

Compensation and benefits related accruals
9,399

 
10,242

Warranty accrual
3,270

 
4,672

Accrued restructuring, current
2,459

 
2,220

Purchase commitments in excess of future demand, current
4,180

 

Other accruals
11,610

 
15,746

 
$
36,260

 
$
51,492

Activity Related to Our Restructuring Liability
The following table summarizes the activity related to our accrued restructuring charges for the nine months ended March 28, 2015:
 
Lease Cancellations,
Commitments and
Other Charges
 
Termination
Payments to
Employees and
Related Costs
 
Total Accrued
Restructuring Charges
 
(Thousands)
Balance at June 28, 2014
$
1,881

 
$
962

 
$
2,843

Charged to restructuring costs
(121
)
 
4,385

 
4,264

Paid or other adjustments
(1,491
)
 
(3,157
)
 
(4,648
)
Balance at March 28, 2015
$
269

 
$
2,190

 
$
2,459

  Current portion
269

 
2,190

 
2,459

  Non-current portion

 

 

Components of Accumulated Other Comprehensive Income
The following table presents the components of accumulated other comprehensive income at the dates indicated:
 
March 28, 2015
 
June 28, 2014
 
(Thousands)
Accumulated other comprehensive income:
 
Currency translation adjustments
$
37,962

 
$
46,490

Unrealized loss on marketable securities

 
(209
)
Japan defined benefit plan
173

 
(417
)
 
$
38,135

 
$
45,864