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Product Warranties
9 Months Ended
Oct. 02, 2011
Product Warranties [Abstract] 
Product Warranties

5. Product Warranties

The Company provides for estimated future warranty obligations at the time revenue is recognized. The Company's standard warranty obligation to its direct customers generally provides for a right of return of any product for a full refund in the event that such product is not merchantable or is found to be damaged or defective. At the time revenue is recognized, an estimate of future warranty returns is recorded to reduce revenue in the amount of the expected credit or refund to be provided to its direct customers. At the time the Company records the reduction to revenue related to warranty returns, the Company includes within cost of revenue a write-down to reduce the carrying value of such products to net realizable value.

The Company's standard warranty obligation to its end-users provides for replacement of a defective product for one or more years. Factors that affect the warranty obligation include product failure rates, material usage and service delivery costs incurred in correcting product failures. The estimated cost associated with fulfilling the Company's warranty obligation to end-users is recorded in cost of revenue. Because the Company's products are manufactured by third party manufacturers, in certain cases the Company has recourse to the third party manufacturer for replacement or credit for the defective products. The Company gives consideration to amounts recoverable from its third party manufacturers in determining its warranty liability.

Changes in the Company's warranty liability, which is included as a component of "Other accrued liabilities" in the unaudited condensed consolidated balance sheets, are as follows (in thousands):

 

                 
     Nine Months Ended  
     October 2,
2011
    October 3,
2010
 

Balance as of beginning of the period

   $ 40,513      $ 30,610   

Provision for warranty liability made during the period

     42,961        48,805   

Settlements made during the period

     (42,898     (39,954
    

 

 

   

 

 

 

Balance at end of period

   $ 40,576      $ 39,461