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Restructuring, integration and other charges (Details 1) (USD $)
9 Months Ended
Mar. 30, 2013
Fiscal Year 2013 [Member]
 
Activity related to the restructuring reserves  
Restructuring Charges $ 70,193,000
Cash payments (33,473,000)
Non-cash write-downs (7,911,000)
Other, principally foreign currency translation (357,000)
Balance at March 30, 2013 28,452,000
Fiscal Year 2012 [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 15,637,000
Cash payments (9,994,000)
Adjustments (2,212,000)
Other, principally foreign currency translation 206,000
Balance at March 30, 2013 3,637,000
Fiscal 2011 And Prior [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 6,325,000
Cash payments (2,828,000)
Adjustments (807,000)
Other, principally foreign currency translation 59,000
Balance at March 30, 2013 2,749,000
Severance Reserves [Member] | Fiscal Year 2013 [Member]
 
Activity related to the restructuring reserves  
Restructuring Charges 47,822,000
Cash payments (31,226,000)
Non-cash write-downs 0
Other, principally foreign currency translation (146,000)
Balance at March 30, 2013 16,450,000
Severance Reserves [Member] | Fiscal Year 2012 [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 9,746,000
Cash payments (7,709,000)
Adjustments (1,068,000)
Other, principally foreign currency translation 168,000
Balance at March 30, 2013 1,137,000
Severance Reserves [Member] | Fiscal 2011 And Prior [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 443,000
Cash payments (133,000)
Adjustments (159,000)
Other, principally foreign currency translation 19,000
Balance at March 30, 2013 170,000
Facility Exit Costs [Member] | Fiscal Year 2013 [Member]
 
Activity related to the restructuring reserves  
Restructuring Charges 14,817,000
Cash payments (1,652,000)
Non-cash write-downs (1,276,000)
Other, principally foreign currency translation (204,000)
Balance at March 30, 2013 11,685,000
Facility Exit Costs [Member] | Fiscal Year 2012 [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 4,544,000
Cash payments (1,526,000)
Adjustments (995,000)
Other, principally foreign currency translation 9,000
Balance at March 30, 2013 2,032,000
Facility Exit Costs [Member] | Fiscal 2011 And Prior [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 4,977,000
Cash payments (2,674,000)
Adjustments (592,000)
Other, principally foreign currency translation 18,000
Balance at March 30, 2013 1,729,000
Other [Member] | Fiscal Year 2013 [Member]
 
Activity related to the restructuring reserves  
Restructuring Charges 7,554,000
Cash payments (595,000)
Non-cash write-downs (6,635,000)
Other, principally foreign currency translation (7,000)
Balance at March 30, 2013 317,000
Other [Member] | Fiscal Year 2012 [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 1,347,000
Cash payments (759,000)
Adjustments (149,000)
Other, principally foreign currency translation 29,000
Balance at March 30, 2013 468,000
Other [Member] | Fiscal 2011 And Prior [Member]
 
Activity related to the restructuring reserves  
Balance at June 30, 2012 905,000
Cash payments (21,000)
Adjustments (56,000)
Other, principally foreign currency translation 22,000
Balance at March 30, 2013 $ 850,000