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Share-based compensation (Tables)
9 Months Ended
Mar. 25, 2022
Share-based Payment Arrangement [Abstract]  
Summary of Effect of Recording Share-Based Compensation Expense
The effect of recording share-based compensation expense for the three and nine months ended March 25, 2022 and March 26, 2021 was as follows:
 Three Months EndedNine Months Ended
(amount in thousands)March 25,
2022
March 26,
2021
March 25,
2022
March 26,
2021
Share-based compensation expense by type of award:  
Restricted share units$3,126 $3,953 $11,720 $13,377 
Performance share units2,597 2,911 9,981 5,365 
Total share-based compensation expense5,723 6,864 21,701 18,742 
Tax effect on share-based compensation expense— — — — 
Net effect on share-based compensation expense$5,723 $6,864 $21,701 $18,742 
Schedule of Share-Based Compensation Expense Recorded in Condensed Consolidated Statements of Operations and Comprehensive Income
Share-based compensation expense was recorded in the unaudited condensed consolidated statements of operations and comprehensive income as follows:
 Three Months EndedNine Months Ended
(amount in thousands)March 25,
2022
March 26,
2021
March 25,
2022
March 26,
2021
Cost of revenue$1,183 $1,388 $4,579 $4,805 
Selling, general and administrative expense4,540 5,476 17,122 13,937 
Total share-based compensation expense$5,723 $6,864 $21,701 $18,742 
Schedule of Restricted Share Unit Activity
The following table summarizes restricted share unit activity under the Equity Incentive Plans:
 Number
of
Shares
Weighted-
Average Grant
Date Fair Value
Per Share
Balance as of June 25, 2021
641,875 $55.74 
Granted165,684 $102.74 
Issued(310,473)$52.12 
Forfeited(36,158)$69.84 
Balance as of March 25, 2022
460,928 $73.96 
 Number
of
Shares
Weighted-
Average Grant
Date Fair Value
Per Share
Balance as of June 26, 2020797,757 $46.88 
Granted222,886 $69.97 
Issued(347,662)$45.18 
Forfeited(23,432)$57.71 
Balance as of March 26, 2021
649,549 $55.33 
Schedule of Performance Share Unit Activity
The following table summarizes performance share unit activity under the Equity Incentive Plans:
 Number
of
Shares
Weighted-
Average Grant
Date Fair Value
Per Share
Balance as of June 25, 2021
427,028 $57.82 
Granted110,832 $101.05 
Issued(190,213)$48.65 
Forfeited(61,765)$53.38 
Balance as of March 25, 2022
285,882 $81.64 
 Number
of
Shares
Weighted-
Average Grant
Date Fair Value
Per Share
Balance as of June 26, 2020440,140 $48.37 
Granted184,718 $69.85 
Issued(82,185)48.02 
Forfeited(115,645)$48.02 
Balance as of March 26, 2021
427,028 $57.82