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Restructuring Costs (Tables)
12 Months Ended
Mar. 27, 2021
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Costs
The following table details the total restructuring charges presented in the Consolidated Statements of Income within the "Restructuring Costs" line item (in thousands):
Fiscal Years Ended
March 27, 2021March 28, 2020
Disposal of equipment, net of recovery from sales (a)
$130 $9,578 
Impairment and write-off of intangible assets— 9,961 
Other exit costs (b)222 1,903 
Personnel-related charges, net of equity cancellations (c)— 483 
Total$352 $21,925 

a.Fiscal year ended March 28, 2020 includes accelerated depreciation of equipment of $11.5 million, net of $1.9 million of recovery from equipment sold during the fourth quarter of fiscal 2020.
b.Fiscal year ended March 28, 2020 includes $0.6 million of accrued exit costs as of March 28, 2020 which are presented in the “Other accrued liabilities” line item of our Consolidated Balance Sheet.
c.Personnel-related charges consist of severance costs of $1.7 million, net of $1.2 million of equity cancellation benefits and includes $0.4 million of accrued severance as of March 28, 2020 which is presented in the “Other accrued liabilities” line item of our Consolidated Balance Sheet.
Schedule of Restructuring Liabilities
Restructuring liabilities are presented in the "Other accrued liabilities" line item of our Consolidated Balance Sheet. The activity related to restructuring liabilities is detailed below (in thousands):

Restructuring Liability
Beginning balance as of March 28, 2020$982 
Other exit costs222 
Cash payments(1,204)
Ending balance as of March 27, 2021$—