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Restructuring Activities (Tables)
12 Months Ended
Jun. 30, 2017
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Related Costs
The following tables summarize our restructuring related activities during fiscal year 2017, 2016 and 2015:
(In thousands)
Severance and Benefits
Fiscal
 2016-2017
Plan
 
Fiscal
2015-2016
Plan
 
Fiscal
2014-2015
Plan
 
Fiscal
2013-2014
Plan
 
Total
Balance as of June 27, 2014
$

 
$

 
$
1,290

 
$
214

 
$
1,504

Charges, net

 
2,862

 
(29
)
 
(43
)
 
2,790

Cash payments

 
(2,212
)
 
(1,261
)
 
(65
)
 
(3,538
)
Balance as of July 3, 2015

 
650

 

 
106

 
756

Charges, net
2,210

 
344

 

 
(6
)
 
2,548

Cash payments
(698
)
 
(637
)
 

 
(32
)
 
(1,367
)
Balance as of July 1, 2016
1,512

 
357

 

 
68

 
1,937

Charges, net
345

 
36

 

 

 
381

Cash payments
(1,542
)
 
(294
)
 

 
(4
)
 
(1,840
)
Balance as of June 30, 2017
$
315

 
$
99

 
$

 
$
64

 
$
478

(In thousands)
Facilities and Other
Fiscal
2015-2016
Plan
 
Fiscal
2014-2015
Plan
 
Fiscal
2013-2014
Plan
 
Total
Balance as of June 27, 2014
$

 
$
92

 
$
3,572

 
$
3,664

Charges, net
641

 
1,306

 
130

 
2,077

Cash payments
(8
)
 
(608
)
 
(1,371
)
 
(1,987
)
Balance as of July 3, 2015
633

 
790

 
2,331

 
3,754

Charges, net
(62
)
 
77

 
(108
)
 
(93
)
Cash payments
(21
)
 
(584
)
 
(1,373
)
 
(1,978
)
Noncash adjustments

 
299

 
896

 
1,195

Balance as of July 1, 2016
550

 
582

 
1,746

 
2,878

Charges, net

 
162

 
46

 
208

Cash payments
13

 
(576
)
 
(1,287
)
 
(1,850
)
Balance as of June 30, 2017
$
563

 
$
168

 
$
505

 
$
1,236