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RESTRUCTURING AND OTHER RELATED CHARGES (CREDITS) (Tables)
3 Months Ended
Jun. 27, 2020
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
The Company's restructuring liabilities as of June 27, 2020 is as follows (amounts in thousands):
 
As of March 28, 2020
 Accruals
 Cash Payments
As of June 27, 2020
FY 2021 Plans
 
 
 
 
 Severance
$

$
23,116

$
(8,094
)
$
15,022

 Facility

259

(2
)
257

 Other

1,441

(727
)
714

Total FY2021 Plans
$

$
24,816

$
(8,823
)
$
15,993

FY 2020 Plans
 
 
 
 
 Severance
$
7,475

$
(865
)
$
(2,794
)
$
3,816

 Facility
2,501

1,539

(317
)
3,723

 Other
1,621


(943
)
678

Total FY2020 Plans
$
11,597

$
674

$
(4,054
)
$
8,217

FY 2019 Plans
 
 
 
 
 Severance
$
147

$
60

$
(91
)
$
116

 Facility




 Other
117


(117
)

Total FY2019 Plans
$
264

$
60

$
(208
)
$
116

 Severance
$
7,622

$
22,311

$
(10,979
)
$
18,954

 Facility
2,501

1,798

(319
)
3,980

 Other
1,738

1,441

(1,787
)
1,392

Grand Total
$
11,861

$
25,550

$
(13,085
)
$
24,326