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RESTRUCTURING (Tables)
6 Months Ended
Sep. 27, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the activity for restructuring reserves related to the 2020 Program, the portfolio rationalization initiatives and the market and regional alignment initiative for the six months ended September 27, 2025, substantially all of which relates to employee severance, other employee costs, inventory reserves and lease termination fees:
2020 ProgramPortfolio RationalizationMarket and Regional AlignmentTotal
(Dollars in Thousands)
Balance as of March 29, 2025
$290 $2,735 $— $3,025 
Costs incurred, net of reversals(67)(1,908)3,445 1,470 
Payments(182)(123)(2,010)(2,315)
Balance as of September 27, 2025
$41 $704 $1,435 $2,180 
Schedule of Restructuring and Related Costs
The following presents the net restructuring costs by line item within the Company’s accompanying unaudited condensed consolidated statements of income:
 Three Months EndedSix Months Ended
September 27, 2025September 28, 2024September 27, 2025September 28, 2024
(Dollars in Thousands)
Cost of goods sold$(141)$3,765 $(526)$8,131 
Research and development349 — 1,034 (12)
Selling, general and administrative expenses(4)1,027 962 1,295 
Total$204 $4,792 $1,470 $9,414 
The tables below present restructuring and restructuring related costs by reportable segment:
Three Months EndedSix Months Ended
September 27, 2025September 28, 2024September 27, 2025September 28, 2024
(Dollars in Thousands)
Restructuring costs
Plasma$(77)$144 $491 $207 
Blood Center(338)2,393 (1,358)3,556 
Hospital540 333 1,116 630 
Corporate79 1,922 1,221 5,021 
Total$204 $4,792 $1,470 $9,414 
Restructuring related costs
Plasma$— $51 $$226 
Blood Center— 46 — 89 
Hospital— — — 108 
Corporate54 1,474 103 3,666 
Total$54 $1,571 $112 $4,089 
Total restructuring and restructuring related costs$258 $6,363 $1,582 $13,503