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BALANCE SHEET DETAILS (Tables)
6 Months Ended
Dec. 26, 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:
 
December 26, 2015
 
June 27, 2015
 
(Thousands)
Cash and cash equivalents:
 
     Cash-in-bank
$
114,058

 
$
110,196

     Money market funds

 
1,644

 
$
114,058

 
$
111,840

Schedule of Inventories
The following table provides details regarding our inventories at the dates indicated:
 
December 26, 2015
 
June 27, 2015
 
(Thousands)
Inventories:
 
Raw materials
$
23,485

 
$
19,610

Work-in-process
27,299

 
19,812

Finished goods
20,497

 
26,920

 
$
71,281

 
$
66,342

Schedule of Property and Equipment, Net
The following table provides details regarding our property and equipment, net at the dates indicated:
 
December 26, 2015
 
June 27, 2015
 
(Thousands)
Property and equipment, net:
 
Buildings and improvements
$
11,523

 
$
11,837

Plant and machinery
41,285

 
33,603

Fixtures, fittings and equipment
6,255

 
4,785

Computer equipment
12,026

 
12,401

 
71,089

 
62,626

Less: Accumulated depreciation
(25,022
)
 
(20,860
)
 
$
46,067

 
$
41,766

Summary of Other Intangible Assets
The following table summarizes the activity related to our other intangible assets for the six months ended December 26, 2015:
 
Core and
Current
Technology
 
Development
and Supply
Agreements
 
Customer
Relationships
 
Patent
Portfolio
 
Other
Intangibles
 
Amortization
 
Total
 
(Thousands)
Balance at June 27, 2015
$
6,249

 
$
4,595

 
$
2,402

 
$
915

 
$
3,338

 
$
(14,920
)
 
$
2,579

Amortization

 

 

 

 

 
(501
)
 
(501
)
Translations and adjustments
(5
)
 
(26
)
 
(2
)
 

 

 

 
(33
)
Balance at December 26, 2015
$
6,244

 
$
4,569

 
$
2,400

 
$
915

 
$
3,338

 
$
(15,421
)
 
$
2,045

Schedule of Accrued Expenses and Other Liabilities
The following table presents details regarding our accrued expenses and other liabilities at the dates indicated:
 
December 26, 2015
 
June 27, 2015
 
(Thousands)
Accrued expenses and other liabilities:
 
Trade payables
$
9,236

 
$
5,250

Compensation and benefits related accruals
14,429

 
11,298

Warranty accrual
3,097

 
2,932

Accrued restructuring, current
264

 
712

Purchase commitments in excess of future demand, current
2,593

 
3,162

Other accruals
10,611

 
12,294

 
$
40,230

 
$
35,648

Activity Related to Our Restructuring Liability
The following table summarizes the activity related to our accrued restructuring charges for the six months ended December 26, 2015:
 
Lease Cancellations,
Commitments and
Other Charges
 
Termination
Payments to
Employees and
Related Costs
 
Total Accrued
Restructuring Charges
 
(Thousands)
Balance at June 27, 2015
$
228

 
$
484

 
$
712

Charged to restructuring costs

 
265

 
265

Paid or other adjustments
(215
)
 
(498
)
 
(713
)
Balance at December 26, 2015
$
13

 
$
251

 
$
264

  Current portion
13

 
251

 
264

  Non-current portion

 

 

Components of Accumulated Other Comprehensive Income
The following table presents the components of accumulated other comprehensive income at the dates indicated:
 
December 26, 2015
 
June 27, 2015
 
(Thousands)
Accumulated other comprehensive income:
 
Currency translation adjustments
$
38,872

 
$
41,351

Japan defined benefit plan
165

 
175

 
$
39,037

 
$
41,526