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Restructurings - (Tables)
9 Months Ended
Jul. 03, 2020
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
The following is a summary of the restructuring charges incurred under the plans noted below (in thousands):
Three Months EndedNine Months Ended
July 3,
2020
June 28,
2019
July 3,
2020
June 28,
2019
Employee related expenses and adjustments$(761) $5,135  $787  $6,742  
Facility related expenses207  3,752  707  10,305  
Total restructuring (benefit) charges$(554) $8,887  $1,494  $17,047  
Schedule of Restructuring Reserve by Type of Cost
The following is a rollforward of the accrued restructuring liabilities for the nine months ended July 3, 2020 (in thousands):
Employee-Related Expense (1)
Facility-Related Expense (2)
Total
Balance at September 27, 2019$1,549  $978  $2,527  
       Charges and adjustments787  707  1,494  
       Charges paid/settled/other(1,460) (1,492) (2,952) 
Balance at July 3, 2020$876  $193  $1,069  
Employee-Related ExpenseFacility-Related ExpenseTotal
Balance at September 27, 2019$1,536  $457  $1,993  
       Charges and adjustments787  765  1,552  
       Charges paid/settled/other(1,447) (1,029) (2,476) 
Balance at July 3, 2020$876  $193  $1,069