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Restructuring and Asset Impairment Charges
6 Months Ended
Jun. 30, 2011
Restructuring and Related Activities [Abstract]  
Restructuring and Related Activities Disclosure [Text Block]
Note 14.   Restructuring and Asset Impairment Charges
 
During the six months ended June 30, 2011, the Company recorded a net restructuring charge of approximately $0.5 million.  The Company implemented a restructuring plan in the first quarter of 2011 that included a workforce reduction of approximately 26 positions primarily in the Company’s Fremont, California, New Delhi, India and Bangalore, India locations.  The restructuring charges are primarily for employee termination benefits.
 
During the six months ended June 30, 2010, the Company recorded a restructuring charge of approximately $0.4 million. The Company implemented a restructuring plan in the first quarter of 2010 that included a workforce reduction of approximately 17 positions primarily in the Company’s Shelton, Connecticut, Fremont, California, New Delhi, India and Bangalore, India locations.  The restructuring charges are primarily for employee termination benefits.
 
A summary of the restructuring liabilities and activity follows:
 
(in thousands)   Activity for the Six Months Ended June 30, 2011  
   
Restructuring
Liabilities
December 31,
2010
   
Restructuring
Charges
    Cash Payments, net of Receipts on Sublease Activity     Non-cash Items    
Adjustments
and Changes
in Estimates
   
Restructuring
Liabilities
June 30,
2011
 
                                     
Employee termination benefits
  $ 3     $ 467     $ (53 )   $     $     $ 417  
                                                 
Facility lease costs
    11,205             (427 )                 10,778  
                                                 
Totals
  $ 11,208     $ 467     $ (480 )   $     $     $ 11,195