0001104659-12-054707.txt : 20120806 0001104659-12-054707.hdr.sgml : 20120806 20120806172011 ACCESSION NUMBER: 0001104659-12-054707 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20120630 FILED AS OF DATE: 20120806 DATE AS OF CHANGE: 20120806 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOGITECH INTERNATIONAL SA CENTRAL INDEX KEY: 0001032975 STANDARD INDUSTRIAL CLASSIFICATION: COMPUTER PERIPHERAL EQUIPMENT, NEC [3577] IRS NUMBER: 000000000 FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-29174 FILM NUMBER: 121010631 BUSINESS ADDRESS: STREET 1: 6505 KAISER DR STREET 2: C/O LOGITECH INC CITY: FREMONT STATE: CA ZIP: 94555 BUSINESS PHONE: 5107958500 MAIL ADDRESS: STREET 1: 6505 KAISER DR CITY: FREMONT STATE: CA ZIP: 94555 10-Q 1 a12-15772_110q.htm 10-Q

Table of Contents

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 10-Q

 

(Mark One)

 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarter ended June 30, 2012

 

Or

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the Transition Period from          to         

 

Commission File Number: 0-29174

 

LOGITECH INTERNATIONAL S.A.

(Exact name of registrant as specified in its charter)

 

Canton of Vaud, Switzerland

(State or other jurisdiction

of incorporation or organization)

 

None

(I.R.S. Employer

Identification No.)

 

Logitech International S.A.

Apples, Switzerland

c/o Logitech Inc.

7600 Gateway Boulevard

Newark, California 94560

(Address of principal executive offices and zip code)

 

(510) 795-8500

(Registrant’s telephone number, including area code)

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes x  No o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes x  No o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer x

 

Accelerated filer o

 

 

 

Non-accelerated filer o
(Do not check if a smaller reporting company)

 

Smaller reporting company o

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Act).  Yes o  No x

 

As of August 1, 2012, there were 155,995,827 shares of the Registrant’s share capital outstanding.

 

 

 



Table of Contents

 

TABLE OF CONTENTS

 

 

 

Page

Part I

FINANCIAL INFORMATION

 

Item 1.

Consolidated Financial Statements (Unaudited)

3

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

30

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

53

Item 4.

Controls and Procedures

55

Part II

OTHER INFORMATION

56

Item 1.

Legal Proceedings

56

Item 1A.

Risk Factors

56

Item 2.

Unregistered Sales of Equity Securities and Use of Proceeds

68

Item 6.

Exhibit Index

69

Signatures

 

70

Exhibits

 

 

 

In this document, unless otherwise indicated, references to the “Company” or “Logitech” are to Logitech International S.A., its consolidated subsidiaries and predecessor entities. Unless otherwise specified, all references to U.S. dollar, dollar or $ are to the United States dollar, the legal currency of the United States of America. All references to CHF are to the Swiss franc, the legal currency of Switzerland.

 

Logitech, the Logitech logo, and the Logitech products referred to herein are either the trademarks or the registered trademarks of Logitech. All other trademarks are the property of their respective owners.

 

2




Table of Contents

 

LOGITECH INTERNATIONAL S.A.

CONSOLIDATED STATEMENTS OF OPERATIONS

(In thousands, except per share amounts)

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

(Unaudited)

 

 

 

 

 

 

 

Net sales

 

$

468,604

 

$

480,441

 

Cost of goods sold

 

324,352

 

354,834

 

Gross profit

 

144,252

 

125,607

 

Operating expenses:

 

 

 

 

 

Marketing and selling

 

100,897

 

99,793

 

Research and development

 

38,928

 

39,981

 

General and administrative

 

32,480

 

30,865

 

Restructuring charges

 

31,227

 

 

Total operating expenses

 

203,532

 

170,639

 

Operating loss

 

(59,280

)

(45,032

)

Interest income, net

 

384

 

690

 

Other income (expense), net

 

(159

)

5,191

 

Loss before income taxes

 

(59,055

)

(39,151

)

Benefit from income taxes

 

(6,910

)

(9,545

)

Net loss

 

$

(52,145

)

$

(29,606

)

 

 

 

 

 

 

Net loss per share:

 

 

 

 

 

Basic

 

$

(0.32

)

$

(0.17

)

Diluted

 

$

(0.32

)

$

(0.17

)

 

 

 

 

 

 

Shares used to compute net loss per share:

 

 

 

 

 

Basic

 

160,733

 

179,331

 

Diluted

 

160,733

 

179,331

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

4


 


Table of Contents

 

LOGITECH INTERNATIONAL S.A.

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

(In thousands)

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

 

 

(Unaudited)

 

 

 

 

 

 

 

Net loss

 

$

(52,145

)

$

(29,606

)

 

 

 

 

 

 

Other comprehensive income (loss):

 

 

 

 

 

Foreign currency translation

 

(6,265

)

1,330

 

 

 

 

 

 

 

Defined benefit pension plan adjustments during the period:

 

 

 

 

 

Foreign currency exchange rate changes

 

1,463

 

(1,241

)

Amortization included in net loss:

 

 

 

 

 

Transition obligation for the period

 

1

 

1

 

Prior service cost for the period

 

38

 

39

 

Net loss for the period

 

416

 

100

 

Pension liability adjustments, net of tax

 

1,918

 

(1,101

)

 

 

 

 

 

 

Deferred hedging gain

 

1,205

 

3,160

 

Less reclassification adjustment for gain included in net loss

 

106

 

2,478

 

Net deferred hedging gain

 

1,099

 

682

 

 

 

 

 

 

 

Reversal of unrealized gains previously recognized in accumulated other comprehensive income

 

(343

)

 

Net change in accumulated other comprehensive income (loss)

 

(3,591

)

911

 

Total comprehensive loss

 

$

(55,736

)

$

(28,695

)

 

The accompanying notes are an integral part of these consolidated financial statements.

 

5



Table of Contents

 

LOGITECH INTERNATIONAL S.A.

CONSOLIDATED BALANCE SHEETS

(In thousands, except per share amounts)

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

(Unaudited)

 

 

 

ASSETS

Current assets:

 

 

 

 

 

Cash and cash equivalents

 

$

360,737

 

$

478,370

 

Accounts receivable

 

213,973

 

223,104

 

Inventories

 

280,533

 

297,072

 

Other current assets

 

69,367

 

65,990

 

Total current assets

 

924,610

 

1,064,536

 

Non-current assets:

 

 

 

 

 

Property, plant and equipment

 

94,491

 

94,884

 

Goodwill

 

558,211

 

560,523

 

Other intangible assets

 

47,037

 

53,518

 

Other assets

 

75,972

 

83,033

 

Total assets

 

$

1,700,321

 

$

1,856,494

 

 

 

 

 

 

 

LIABILITIES AND SHAREHOLDERS’ EQUITY

 

 

 

 

 

 

Current liabilities:

 

 

 

 

 

Accounts payable

 

$

262,929

 

$

301,111

 

Accrued liabilities

 

213,552

 

186,680

 

Total current liabilities

 

476,481

 

487,791

 

Non-current liabilities

 

219,934

 

218,462

 

Total liabilities

 

696,415

 

706,253

 

 

 

 

 

 

 

Commitments and contingencies

 

 

 

 

 

 

 

 

 

 

 

Shareholders’ equity:

 

 

 

 

 

Shares, par value CHF 0.25 - 191,606 issued and authorized and 50,000 conditionally authorized at June 30, 2012 and March 31, 2012

 

33,370

 

33,370

 

Additional paid-in capital

 

1,726

 

 

Less shares in treasury, at cost, 35,647 at June 30, 2012 and 27,173 at March 31, 2012

 

(429,834

)

(343,829

)

Retained earnings

 

1,498,164

 

1,556,629

 

Accumulated other comprehensive loss

 

(99,520

)

(95,929

)

Total shareholders’ equity

 

1,003,906

 

1,150,241

 

Total liabilities and shareholders’ equity

 

$

1,700,321

 

$

1,856,494

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

6



Table of Contents

 

LOGITECH INTERNATIONAL S.A.

CONSOLIDATED STATEMENTS OF CASH FLOWS

(In thousands)

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

(Unaudited)

 

Cash flows from operating activities:

 

 

 

 

 

Net loss

 

$

(52,145

)

$

(29,606

)

Non-cash items included in net loss:

 

 

 

 

 

Depreciation

 

11,152

 

13,172

 

Amortization of other intangible assets

 

6,232

 

6,630

 

Inventory valuation adjustment

 

 

34,074

 

Share-based compensation expense

 

6,171

 

9,715

 

Gain on disposal of property and plant

 

 

(4,904

)

Gain on sale of available-for-sale securities

 

(831

)

 

Excess tax benefits from share-based compensation

 

(5

)

(24

)

Deferred income taxes and other

 

(1,055

)

(13,701

)

Changes in assets and liabilities:

 

 

 

 

 

Accounts receivable

 

6,577

 

19,097

 

Inventories

 

11,445

 

(54,783

)

Other assets

 

33

 

(6,015

)

Accounts payable

 

(37,408

)

29,346

 

Accrued liabilities

 

42,778

 

743

 

Net cash (used in) provided by operating activities

 

(7,056

)

3,744

 

Cash flows from investing activities:

 

 

 

 

 

Purchases of property, plant and equipment

 

(19,621

)

(10,561

)

Proceeds from sale of property and plant

 

 

4,904

 

Proceeds from sale of available-for-sale securities

 

917

 

 

Purchases of trading investments

 

(1,397

)

(3,545

)

Proceeds from sales of trading investments

 

1,385

 

3,500

 

Net cash used in investing activities

 

(18,716

)

(5,702

)

Cash flows from financing activities:

 

 

 

 

 

Purchases of treasury shares

 

(89,955

)

 

Proceeds from sale of shares upon exercise of options and purchase rights

 

404

 

607

 

Tax withholdings related to net share settlements of restricted stock units

 

(170

)

(176

)

Excess tax benefits from share-based compensation

 

5

 

24

 

Net cash (used in) provided by financing activities

 

(89,716

)

455

 

Effect of exchange rate changes on cash and cash equivalents

 

(2,145

)

(61

)

Net decrease in cash and cash equivalents

 

(117,633

)

(1,564

)

Cash and cash equivalents at beginning of period

 

478,370

 

477,931

 

Cash and cash equivalents at end of period

 

$

360,737

 

$

476,367

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

7



Table of Contents

 

LOGITECH INTERNATIONAL S.A.

CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS’ EQUITY

(In thousands)

(Unaudited)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Accumulated

 

 

 

 

 

 

 

 

 

Additional

 

 

 

 

 

 

 

other

 

 

 

 

 

Registered shares

 

paid-in

 

Treasury shares

 

Retained

 

comprehensive

 

 

 

 

 

Shares

 

Amount

 

capital

 

Shares

 

Amount

 

earnings

 

loss

 

Total

 

March 31, 2011

 

191,606

 

$

33,370

 

$

 

12,433

 

$

(264,019

)

$

1,514,168

 

$

(78,518

)

$

1,205,001

 

Total comprehensive loss

 

 

 

 

 

 

(29,606

)

911

 

(28,695

)

Tax benefit from exercise of stock options

 

 

 

4

 

 

 

 

 

4

 

Sale of shares upon exercise of options and purchase rights

 

 

 

(1,580

)

(77

)

2,197

 

 

 

617

 

Issuance of shares upon vesting of restricted stock units

 

 

 

(1,060

)

(30

)

884

 

 

 

(176

)

Share-based compensation expense

 

 

 

9,588

 

 

 

 

 

9,588

 

June 30, 2011

 

191,606

 

$

33,370

 

$

6,952

 

12,326

 

$

(260,938

)

$

1,484,562

 

$

(77,607

)

$

1,186,339

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

March 31, 2012

 

191,606

 

$

33,370

 

$

 

27,173

 

$

(343,829

)

$

1,556,629

 

$

(95,929

)

$

1,150,241

 

Total comprehensive loss

 

 

 

 

 

 

(52,145

)

(3,591

)

(55,736

)

Purchase of treasury shares

 

 

 

 

8,600

 

(89,955

)

 

 

(89,955

)

Tax benefit from exercise of stock options

 

 

 

(500

)

 

 

 

 

(500

)

Deferred tax asset adjustment related to share-based compensation expense

 

 

 

 

 

 

(6,320

)

 

(6,320

)

Sale of shares upon exercise of options and purchase rights

 

 

 

(2,289

)

(86

)

2,697

 

 

 

408

 

Issuance of shares upon vesting of restricted stock units

 

 

 

(1,423

)

(40

)

1,253

 

 

 

(170

)

Share-based compensation expense

 

 

 

5,938

 

 

 

 

 

5,938

 

June 30, 2012

 

191,606

 

$

33,370

 

$

1,726

 

35,647

 

$

(429,834

)

$

1,498,164

 

$

(99,520

)

$

1,003,906

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

8


 


Table of Contents

 

LOGITECH INTERNATIONAL S.A.

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

(Unaudited)

 

Note 1 — The Company

 

Logitech is a world leader in products that connect people to the digital experiences they care about. Spanning multiple computing, communications and entertainment platforms, we develop and market innovative hardware and software products that enable or enhance digital navigation, music and video entertainment, gaming, social networking, audio and video communication over the Internet, video security and home-entertainment control. Our products for home and business PCs (personal computers) include mice, trackballs, keyboards, interactive gaming controllers, multimedia speakers, headsets and webcams. Our tablet accessories include keyboards, keyboard cases and covers, headsets, wireless speakers, earphones and stands. Our Internet communications products include webcams, headsets, video communication services, and digital video security systems. Our digital music products include speakers, earphones, custom in-ear monitors, and Squeezebox Wi-Fi music players. For home entertainment systems, we offer the Harmony line of advanced remote controls. Our gaming products include a range of gaming controllers and microphones, as well as other accessories. Our video conferencing segment offers scalable HD (high-definition) video communications endpoints, HD video conferencing systems with integrated monitors, video bridges and other infrastructure software and hardware to support large-scale video deployments, and services to support these products.

 

We sell our peripheral products to a network of distributors, retailers and OEMs (original equipment manufacturers). We sell our video conferencing products and services to distributors, value-added resellers, OEMs, and, occasionally, direct enterprise customers. The large majority of our revenues have historically been derived from sales of our peripheral products for use by consumers.

 

Logitech was founded in Switzerland in 1981, and Logitech International S.A. has been the parent holding company of Logitech since 1988. Logitech International S.A. is a Swiss holding company with its registered office in Apples, Switzerland, which conducts its business through subsidiaries in the Americas, EMEA (Europe, Middle East, Africa) and Asia Pacific. Shares of Logitech International S.A. are listed on both the Nasdaq Global Select Market, under the trading symbol LOGI, and the SIX Swiss Exchange, under the trading symbols LOGN and LOGNE.

 

Note 2 — Summary of Significant Accounting Policies

 

Basis of Presentation

 

The consolidated financial statements include the accounts of Logitech and its subsidiaries. All intercompany balances and transactions have been eliminated. The consolidated financial statements are presented in accordance with U.S. GAAP (accounting principles generally accepted in the United States of America) for interim financial information and therefore do not include all the information required by U.S. GAAP for complete financial statements. They should be read in conjunction with the Company’s audited consolidated financial statements for the fiscal year ended March 31, 2012 included in its Annual Report on Form 10-K.

 

In the quarter ended June 30, 2012, we recorded a reduction in deferred tax assets and a decrease to retained earnings of $6.3 million, related to vested unexercised non-qualified stock options for former employees who terminated in fiscal year 2012 and prior.  We reviewed this accounting error utilizing SEC Staff Accounting Bulletin No. 99, Materiality, and SEC Staff Accounting Bulletin No. 108, Effects of Prior Year Misstatements on Current Year Financial Statements, and determined the impact of the error to be immaterial to any period presented.

 

9



Table of Contents

 

Certain prior period financial statement amounts have been reclassified to conform to the current period presentation with no impact on previously reported net income.

 

In the opinion of management, these consolidated financial statements include all adjustments, consisting of normal recurring adjustments, necessary for a fair statement of the results for the periods presented. Operating results for the three months ended June 30, 2012 are not necessarily indicative of the results that may be expected for the year ending March 31, 2013, or any future periods.

 

Fiscal Year

 

The Company’s fiscal year ends on March 31. Interim quarters are thirteen-week periods, each ending on a Friday. For purposes of presentation, the Company has indicated its quarterly periods as ending on the month end.

 

Changes in Significant Accounting Policies

 

There have been no substantial changes in our significant accounting policies during the three months ended June 30, 2012 compared with the significant accounting policies described in our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Use of Estimates

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make judgments, estimates and assumptions that affect reported amounts of assets, liabilities, net sales and expenses, and the disclosure of contingent assets and liabilities. Although these estimates are based on management’s best knowledge of current events and actions that may impact the Company in the future, actual results could differ from those estimates.

 

Note 3 — Net Loss per Share

 

The computations of basic and diluted net loss per share for the Company were as follows (in thousands except per share amounts):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net loss

 

$

(52,145

)

$

(29,606

)

 

 

 

 

 

 

Weighted average shares - basic

 

160,733

 

179,331

 

Effect of potentially dilutive share equivalents

 

 

 

Weighted average shares - diluted

 

160,733

 

179,331

 

 

 

 

 

 

 

Net loss per share - basic

 

$

(0.32

)

$

(0.17

)

Net loss per share - diluted

 

$

(0.32

)

$

(0.17

)

 

Employee stock options, restricted stock units and similar share-based compensation awards granted by the Company are treated as potential shares in computing diluted net income per share. Diluted shares outstanding include the dilutive effect of in-the-money share-based awards which is calculated based on the average share price for each fiscal period using the treasury stock method. Under the treasury stock method, the amount that the employee must pay for exercising share-based awards, the amount of compensation cost for future service that the Company has not yet recognized, and the amount of tax impact that would be recorded in additional paid-in capital when the award becomes deductible are assumed to be used to repurchase shares.

 

10



Table of Contents

 

Share equivalents attributable to outstanding stock options and RSUs (restricted stock units) of 18,955,767 and 15,939,015 for the three months ended June 30, 2012 and 2011 were excluded from the calculation of diluted net loss per share because their inclusion would have been anti-dilutive.

 

Note 4 — Employee Benefit Plans

 

Employee Share Purchase Plans and Stock Incentive Plans

 

As of June 30, 2012, the Company offers the 2006 ESPP (2006 Employee Share Purchase Plan (Non-U.S.)), the 1996 ESPP (1996 Employee Share Purchase Plan (U.S.)), the 2006 Plan (2006 Stock Incentive Plan) and the 2012 Plan (2012 Stock Inducement Equity Plan). The 2012 Plan was approved by the Board of Directors in April 2012. On April 13, 2012, the Company filed Registration Statements to register 5.0 million additional shares to be issued pursuant to the 2006 ESPP, and 1.8 million shares under the 2012 Plan. Shares issued to employees as a result of purchases or exercises under these plans are generally issued from shares held in treasury.

 

The following table summarizes the share-based compensation expense and related tax benefit recognized for the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Cost of goods sold

 

$

789

 

$

1,160

 

Share-based compensation expense included in gross profit

 

789

 

1,160

 

Operating expenses:

 

 

 

 

 

Marketing and selling

 

1,780

 

3,517

 

Research and development

 

1,825

 

1,808

 

General and administrative

 

1,777

 

3,230

 

Share-based compensation expense included in operating expenses

 

5,382

 

8,555

 

Total share-based compensation expense

 

6,171

 

9,715

 

Income tax benefit

 

(1,376

)

(2,389

)

Share-based compensation expense, net of income tax

 

$

4,795

 

$

7,326

 

 

Share-based compensation expense for the quarter ended June 30, 2012 includes a reduction of $1.6 million in expense applicable to employees terminated as a result of the restructuring plan announced in April 2012. As of June 30, 2012 and 2011, $0.5 million and $0.9 million of share-based compensation cost was capitalized to inventory.

 

11



Table of Contents

 

The following table summarizes total share-based compensation cost not yet recognized and the number of months over which such cost is expected to be recognized, on a weighted-average basis by type of grant (in thousands, except number of months):

 

 

 

June 30, 2012

 

 

 

Compensation
Cost Not Yet
Recognized

 

Months of
Future
Recognition

 

 

 

 

 

 

 

Non-vested stock options

 

$

7,202

 

17

 

Premium-priced stock options

 

2,769

 

45

 

Time-based RSUs

 

27,790

 

22

 

Performance-based RSUs

 

5,454

 

19

 

Total compensation cost not yet recognized

 

$

43,215

 

 

 

 

A summary of the Company’s stock option activity for the three months ended June 30, 2012 and 2011 is as follows (in thousands, except per share data; exercise prices are weighted averages):

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Exercise
Price

 

Number

 

Exercise
Price

 

 

 

 

 

 

 

 

 

 

 

Options outstanding, beginning of period

 

13,034

 

$

19

 

16,312

 

$

19

 

Granted

 

1,700

 

14

 

 

 

Exercised

 

(84

)

5

 

(74

)

8

 

Cancelled or expired

 

(439

)

19

 

(599

)

22

 

Options outstanding, end of period

 

14,211

 

18

 

15,639

 

20

 

Options exercisable, end of period

 

10,984

 

$

19

 

11,446

 

$

20

 

 

The total pretax intrinsic value of options exercised during the three months ended June 30, 2012 and 2011 was $0.5 million and $0.3 million and the tax benefit realized for the tax deduction from options exercised during each of those periods was $0.1 million. The total fair value of options vested as of June 30, 2012 and 2011 was $70.6 million and $74.9 million.

 

The fair value of employee stock options granted and shares purchased under the Company’s employee purchase plans was estimated using the Black-Scholes-Merton option-pricing valuation model. During the three months ended June 30, 2012, the Company also granted premium-priced stock options which will vest in full if and only when Logitech’s average closing share price, over a consecutive ninety-day trading period, meets or exceeds the exercise price of the grants. The fair value of premium-priced stock options was estimated using the Monte-Carlo simulation method. There were no stock options granted during the three months ended June 30, 2011. The table below presents the assumptions used to determine the fair value of employee stock options, premium-priced stock options and shares purchased under the employee purchase plans:

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Dividend yield

 

0

%

0

%

0

%

n/a

 

0

%

n/a

 

Expected life

 

6 months

 

6 months

 

4 years

 

n/a

 

7 years

 

n/a

 

Expected volatility

 

64

%

33

%

46

%

n/a

 

46

%

n/a

 

Risk-free interest rate

 

0.08

%

0.17

%

1.20

%

n/a

 

2.00

%

n/a

 

 

The dividend yield assumption is based on the Company’s history and future expectations of dividend payouts. The Company has not paid dividends since 1996. If approved by shareholders, the distribution of qualifying additional paid-in capital described in Note 11 is expected by management to be a one-time event. The expected option life represents the weighted-average period the stock options or purchase offerings are expected to remain outstanding. The expected life is based on historical settlement rates, which the Company believes are most representative of future exercise and post-vesting termination behaviors. Expected share price volatility is based on historical

 

12



Table of Contents

 

volatility using the Company’s daily closing prices over the term of past options or purchase offerings. The Company considers historical share price volatility of its shares as most representative of future volatility. The risk-free interest rate assumptions are based upon the implied yield of U.S. Treasury zero-coupon issues appropriate for the term of the Company’s stock options or purchase offerings.

 

The Company estimates option forfeitures at the time of grant and revises those estimates in subsequent periods if actual forfeitures differ from those estimates. The Company uses historical data to estimate pre-vesting option forfeitures and records share-based compensation expense only for those awards that are expected to vest.

 

The following table presents the weighted average grant-date fair values of options granted and the expected forfeiture rates. There were no stock options granted during the three months ended June 30, 2011.

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Weighted average grant-date fair value of options granted

 

$

2.67

 

$

4.69

 

$

8.03

 

n/a

 

$

2.52

 

n/a

 

Expected forfeitures

 

0

%

0

%

11

%

n/a

 

0

%

n/a

 

 

The Company has granted time-based RSUs, which vest in annual installments on the grant-date anniversary, and performance-based RSUs, which vest at the end of the performance period upon meeting certain share price performance criteria measured against market conditions. A summary of the Company’s time- and performance-based RSU activity for the three months ended June 30, 2012 and 2011 is as follows (in thousands, except per share values; grant-date fair values are weighted averages):

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Grant
Date Fair
Value

 

Number

 

Grant
Date Fair
Value

 

 

 

 

 

 

 

 

 

 

 

RSUs outstanding, beginning of period

 

4,125

 

$

13

 

2,370

 

$

21

 

Granted

 

170

 

$

9

 

714

 

$

13

 

Vested

 

(60

)

$

14

 

(50

)

$

13

 

Cancelled or expired

 

(240

)

$

16

 

(155

)

$

19

 

RSUs outstanding, end of period

 

3,995

 

$

13

 

2,879

 

$

20

 

 

The total pretax intrinsic value (fair value) of RSUs vested during the three months ended June 30, 2012 and 2011 was $0.8 million and $0.7 million and the tax benefit realized for the tax deduction from RSUs vested during each of those periods was $0.2 million.

 

The Company determines the fair value of time-based RSUs based on the market price of the Company’s shares on the date of grant. The fair value of performance-based RSUs is estimated using the Monte-Carlo simulation method applying the following assumptions:

 

 

 

Q1 FY 2013
Grants

 

FY 2012
Grants

 

 

 

 

 

 

 

Dividend yield

 

n/a

 

0

%

Expected life

 

n/a

 

3 years

 

Expected volatility

 

n/a

 

51

%

Risk-free interest rate

 

n/a

 

1.35

%

 

13



Table of Contents

 

The dividend yield assumption is based on the Company’s history and future expectations of dividend payouts. If approved by shareholders, the distribution of qualifying additional paid-in capital described in Note 11 is expected by management to be a one-time event. The expected life of the performance-based RSUs is the service period at the end of which the RSUs will vest if the performance conditions are satisfied. The volatility assumption is based on the actual volatility of Logitech’s daily closing share price over a look-back period equal to the years of expected life. The risk free interest rate is derived from the yield on U.S. Treasury Bonds for a term of the same number of years as the expected life.

 

Defined Contribution Plans

 

Certain of the Company’s subsidiaries have defined contribution employee benefit plans covering all or a portion of their employees. Contributions to these plans are discretionary for certain plans and are based on specified or statutory requirements for others. The charges to expense for these plans for the three months ended June 30, 2012 and 2011 were $2.8 million and $3.1 million.

 

Defined Benefit Plans

 

Certain of the Company’s subsidiaries sponsor defined benefit pension plans or non-retirement post-employment benefits covering substantially all of their employees. Benefits are provided based on employees’ years of service and earnings, or in accordance with applicable employee benefit regulations. The Company’s practice is to fund amounts sufficient to meet the requirements set forth in the applicable employee benefit and tax regulations.

 

The net periodic benefit cost for defined benefit pension plans and non-retirement post-employment benefit obligations for the three months ended June 30, 2012 and 2011 was as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Service cost

 

$

1,875

 

$

1,295

 

Interest cost

 

494

 

505

 

Expected return on plan assets

 

(93

)

(418

)

Amortization of net transition obligation

 

1

 

1

 

Amortization of net prior service cost

 

38

 

39

 

Recognized net actuarial loss

 

416

 

100

 

Net periodic benefit cost

 

$

2,731

 

$

1,522

 

 

Note 5 — Income Taxes

 

The Company is incorporated in Switzerland but operates in various countries with differing tax laws and rates. Further, a portion of the Company’s income before taxes and the provision for income taxes are generated outside of Switzerland.

 

On April 25, 2012, Logitech announced a restructuring plan to simplify the Company’s organization, to better align costs with its current business, and to free up resources to pursue growth opportunities. A majority of the restructuring was completed during the three months ended June 30, 2012. In determining the annual effective tax rate, the restructuring was treated as a discrete event in the quarter as it was significantly unusual and infrequent in nature. As such, restructuring-related charges and costs were excluded from ordinary income in determining the annual effective tax rate. The tax benefit associated with the restructuring is approximately $0.2 million.

 

Tax benefits for the three months ended June 30, 2012 and 2011 were $6.9 million and $9.5 million based on effective income tax rates of 11.7% and 24.4% of pre-tax loss. The change in the effective income tax rate for the three months ended June 30, 2012 compared with the three months ended June 30, 2011 is

 

14


 


Table of Contents

 

primarily due to the mix of income and losses in the various tax jurisdictions in which the Company operates, and the treatment of restructuring expenses as a discrete event in determining the annual effective tax rate.

 

As of June 30 and March 31, 2012, the total amount of unrecognized tax benefits and related accrued interest and penalties due to uncertain tax positions was $141.0 million and $143.3 million, of which $124.0 million and $125.4 million would affect the effective income tax rate if recognized. The Company classified the unrecognized tax benefits as non-current income taxes payable.

 

The Company continues to recognize interest and penalties related to unrecognized tax positions in income tax expense. As of June 30 and March 31, 2012, the Company had approximately $7.5 million of accrued interest and penalties related to uncertain tax positions.

 

The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulting from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results.

 

In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. At this time, the Company is not able to estimate the potential impact that these examinations may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on the Company’s consolidated operating results.

 

Although the Company has adequately provided for uncertain tax positions, the provisions on these positions may change as revised estimates are made or the underlying matters are settled or otherwise resolved. It is reasonably possible that resolution of fiscal years 2006 and 2007 with the IRS will lead to a decrease of unrecognized tax benefits within the next twelve months, which may have a material positive effect on the Company’s consolidated operating results.  At this time, the Company is not able to estimate the change as of June 30, 2012.

 

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Table of Contents

 

Note 6 — Balance Sheet Components

 

The following table presents the components of certain balance sheet asset amounts as of June 30 and March 31, 2012 (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

Accounts receivable:

 

 

 

 

 

Accounts receivable

 

$

361,339

 

$

376,917

 

Allowance for doubtful accounts

 

(2,321

)

(2,472

)

Allowance for returns

 

(24,995

)

(24,599

)

Allowances for cooperative marketing arrangements

 

(22,259

)

(24,109

)

Allowances for customer incentive programs

 

(36,237

)

(42,262

)

Allowances for pricing programs

 

(61,554

)

(60,371

)

 

 

$

213,973

 

$

223,104

 

Inventories:

 

 

 

 

 

Raw materials

 

$

32,129

 

$

38,613

 

Work-in-process

 

3

 

73

 

Finished goods

 

248,401

 

258,386

 

 

 

$

280,533

 

$

297,072

 

Other current assets:

 

 

 

 

 

Tax and value-added tax refund receivables

 

$

15,331

 

$

19,360

 

Deferred taxes

 

33,179

 

25,587

 

Prepaid expenses and other

 

20,857

 

21,043

 

 

 

$

69,367

 

$

65,990

 

Property, plant and equipment:

 

 

 

 

 

Plant, buildings and improvements

 

$

62,775

 

$

48,555

 

Equipment

 

151,159

 

148,059

 

Computer equipment

 

40,956

 

40,353

 

Computer software

 

77,094

 

75,758

 

 

 

331,984

 

312,725

 

Less: accumulated depreciation

 

(254,079

)

(249,657

)

 

 

77,905

 

63,068

 

Construction-in-progress

 

13,754

 

28,968

 

Land

 

2,832

 

2,848

 

 

 

$

94,491

 

$

94,884

 

Other assets:

 

 

 

 

 

Deferred taxes

 

$

55,234

 

$

61,358

 

Trading investments

 

14,172

 

14,301

 

Deposits and other

 

6,566

 

7,374

 

 

 

$

75,972

 

$

83,033

 

 

Inventories are stated at the lower of cost or market. Inventory as of June 30, 2012 and March 31, 2012 includes an adjustment of an immaterial amount and $8.5 million to reflect the lower of cost or market on the Company’s inventory of Logitech Revue and related peripherals on hand. In the three months ended June 30, 2011, a valuation adjustment of $34.1 million was charged to cost of goods sold, as the result of management’s decision in early July 2011 to reduce the retail price of Logitech Revue.

 

16



Table of Contents

 

The following table presents the components of certain balance sheet liability amounts as of June 30 and March 31, 2012 (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

Accrued liabilities:

 

 

 

 

 

Accrued personnel expenses

 

$

50,229

 

$

42,809

 

Accrued marketing expenses

 

7,664

 

7,097

 

Customer incentive program accruals

 

25,007

 

26,112

 

Accrued restructuring

 

26,095

 

 

Deferred revenue

 

20,339

 

19,358

 

Accrued freight and duty

 

10,168

 

11,376

 

Value-added tax payable

 

4,698

 

7,140

 

Accrued royalties

 

6,114

 

6,243

 

Warranty accrual

 

4,821

 

5,184

 

Non-retirement post-employment benefit obligations

 

4,325

 

4,129

 

Income taxes payable - current

 

4,501

 

6,047

 

Other accrued liabilities

 

49,591

 

51,185

 

 

 

$

213,552

 

$

186,680

 

Non-current liabilities:

 

 

 

 

 

Income taxes payable - non-current

 

$

134,988

 

$

137,319

 

Obligation for deferred compensation

 

14,235

 

14,393

 

Defined benefit pension plan liability

 

37,730

 

39,337

 

Deferred rent

 

20,638

 

16,042

 

Other long-term liabilities

 

12,343

 

11,371

 

 

 

$

219,934

 

$

218,462

 

 

The following table presents the changes in the allowance for doubtful accounts during the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Allowance for doubtful accounts, beginning of period

 

$

(2,472

)

$

(4,086

)

Bad debt expense

 

86

 

401

 

Write-offs, net of recoveries

 

65

 

(351

)

Allowance for doubtful accounts, end of period

 

$

(2,321

)

$

(4,036

)

 

Note 7 — Financial Instruments

 

Fair Value Measurements

 

The Company considers fair value as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants at the measurement date. The Company utilizes the following three-level fair value hierarchy to establish the priorities of the inputs used to measure fair value:

 

·                    Level 1 — Quoted prices in active markets for identical assets or liabilities.

 

·                    Level 2 — Observable inputs other than quoted market prices included in Level 1, such as quoted prices for similar assets and liabilities in active markets; quoted prices for identical or similar assets and liabilities in markets that are not active; or other inputs that are observable or can be corroborated by observable market data.

 

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Table of Contents

 

·                    Level 3 — Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. This includes certain pricing models, discounted cash flow methodologies and similar techniques that use significant unobservable inputs.

 

The following table presents the Company’s financial assets and liabilities that were accounted for at fair value, except for assets related to the Company’s defined benefit pension plans, classified by the level within the fair value hierarchy (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Level 1

 

Level 2

 

Level 3

 

Level 1

 

Level 2

 

Level 3

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

$

360,737

 

$

 

$

 

$

478,370

 

$

 

$

 

Trading investments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Money market funds

 

3,542

 

 

 

3,383

 

 

 

Mutual funds

 

10,630

 

 

 

10,918

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

 

 

 

 

Collateralized debt obligations

 

 

 

 

 

 

429

 

Foreign exchange derivative assets

 

 

45

 

 

 

658

 

 

Total assets at fair value

 

$

374,909

 

$

45

 

$

 

$

492,671

 

$

658

 

$

429

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange derivative liabilities

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

Total liabilities at fair value

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

 

The following table presents the changes in the Company’s Level 3 financial assets during the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Available-for-sale securities, beginning balance

 

$

429

 

$

1,695

 

Proceeds from sales of securities

 

(917

)

 

Realized gain on sales of securities

 

831

 

 

Reversal of unrealized gains previously recognized in accumulated other comprehensive income

 

(343

)

 

Available-for-sale securities, ending balance

 

$

 

$

1,695

 

 

Cash and Cash Equivalents

 

Cash and cash equivalents consist of bank demand deposits and time deposits. The time deposits have original maturities of less than 32 days. Cash and cash equivalents are carried at cost, which approximates fair value.

 

Investment Securities

 

The Company’s investment securities portfolio consists of marketable securities related to a deferred compensation plan and auction rate securities collateralized by residential and commercial mortgages.

 

The marketable securities related to the deferred compensation plan are classified as non-current trading investments and do not have maturity dates. Since participants in the deferred compensation plan may select the mutual funds in which their compensation deferrals are invested, and may actively trade funds within the confines of the Rabbi Trust which holds the marketable securities, the Company has designated these marketable securities as trading investments. Management has classified the investments as non-current assets because final sale of the investments or realization of proceeds by plan participants is not expected within the Company’s normal operating cycle of one year. The marketable securities are recorded at a fair value of $14.2 million and $14.3 million as of June 30 and March 31, 2012, based on quoted market prices. Quoted market prices are observable inputs that are classified as Level 1 within the fair value hierarchy. Earnings, gains and losses on trading investments are included in other income

 

18



Table of Contents

 

(expense), net. Unrealized trading loss of $0.3 million are included in other income (expense), net for the three months ended June 30, 2012 and relate to trading securities held at June 30, 2012.

 

The auction rate securities are classified as non-current available-for-sale securities. These securities are collateralized by residential and commercial mortgages, and are second-priority senior secured floating rate notes with maturity dates in excess of 10 years. Interest rates on these notes were intended to reset through an auction every 28 days, however auctions for these securities have failed since August 2007. During the three months ended June 30, 2012, the Company sold its remaining two auction rate securities with a total carrying value of $0.4 million and a total par value of $15.2 million for $0.9 million. This sale resulted in $0.8 million of gain recognized in other income (expense), net, $0.3 million of which resulted from the recognition of a temporary increase in fair value previously recorded in accumulated other comprehensive income. The par value and original cost of the auction rate securities held as of March 31, 2012 was $15.2 million. These securities were recorded at an estimated fair value of $0.4 million at March 31, 2012. The estimated fair value was determined by estimating future cash flows through time according to each security’s terms, including periodic consideration of overcollateralization and interest coverage tests, and incorporating estimates of default rate, loss severity, prepayment, and delinquency assumptions when available, for the underlying assets in the securities based on representative indices and various research reports. The estimated coupon and principal payments were discounted at the rate of return required by investors, based on the characteristics of each security as calculated from the indices. Such valuation methods fall within Level 3 of the fair value hierarchy.

 

Derivative Financial Instruments

 

The following table presents the fair values of the Company’s derivative instruments and their locations on its Consolidated Balance Sheets as of June 30 and March 31, 2012 (in thousands):

 

 

 

Asset Derivatives

 

Liability Derivatives

 

 

 

 

 

Fair Value

 

 

 

Fair Value

 

 

 

 

 

June 30,

 

March 31,

 

 

 

June 30,

 

March 31,

 

 

 

Location

 

2012

 

2012

 

Location

 

2012

 

2012

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

Other assets

 

$

25

 

$

250

 

Other liabilities

 

$

547

 

$

 

 

 

 

 

25

 

250

 

 

 

547

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

Other assets

 

13

 

341

 

Other liabilities

 

122

 

148

 

Foreign exchange swap contracts

 

Other assets

 

7

 

67

 

Other liabilities

 

297

 

97

 

 

 

 

 

20

 

408

 

 

 

419

 

245

 

 

 

 

 

$

45

 

$

658

 

 

 

$

966

 

$

245

 

 

19



Table of Contents

 

The following table presents the amounts of gains and losses on the Company’s derivative instruments for the three months ended June 30, 2012 and 2011 and their locations on its Consolidated Statements of Operations (in thousands):

 

 

 

Net amount of gain/(loss)
deferred as a component of
accumulated other
comprehensive loss

 

Location of
gain/(loss)
reclassified from
accumulated other
comprehensive

 

Amount of gain/(loss)
reclassified from
accumulated other
comprehensive loss into
income

 

Location of
gain/(loss)
recognized in income

 

Amount of gain/(loss)
recognized in income
immediately

 

 

 

2012

 

2011

 

loss into income

 

2012

 

2011

 

immediately

 

2012

 

2011

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

$

1,099

 

$

682

 

Cost of goods sold

 

$

106

 

$

2,478

 

Other income/expense

 

$

52

 

$

(97

)

 

 

1,099

 

682

 

 

 

106

 

2,478

 

 

 

52

 

(97

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

 

 

 

 

 

 

Other income/expense

 

(745

)

(52

)

Foreign exchange swap contracts

 

 

 

 

 

 

 

Other income/expense

 

825

 

(217

)

 

 

 

 

 

 

 

 

 

 

80

 

(269

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

$

1,099

 

$

682

 

 

 

$

106

 

$

2,478

 

 

 

$

132

 

$

(366

)

 

Cash Flow Hedges

 

The Company enters into foreign exchange forward contracts to hedge against exposure to changes in foreign currency exchange rates related to its subsidiaries’ forecasted inventory purchases. The primary risk managed by using derivative instruments is the foreign currency exchange rate risk. The Company has designated these derivatives as cash flow hedges. Logitech does not use derivative financial instruments for trading or speculative purposes. These hedging contracts mature within four months, and are denominated in the same currency as the underlying transactions. Gains and losses in the fair value of the effective portion of the hedges are deferred as a component of accumulated other comprehensive loss until the hedged inventory purchases are sold, at which time the gains or losses are reclassified to cost of goods sold. The Company assesses the effectiveness of the hedges by comparing changes in the spot rate of the currency underlying the forward contract with changes in the spot rate of the currency in which the forecasted transaction will be consummated. If the underlying transaction being hedged fails to occur or if a portion of the hedge does not generate offsetting changes in the foreign currency exposure of forecasted inventory purchases, the Company immediately recognizes the gain or loss on the associated financial instrument in other income (expense). Such gains and losses were immaterial during the three months ended June 30, 2012 and 2011. Cash flows from such hedges are classified as operating activities in the consolidated statements of cash flows. The notional amounts of foreign exchange forward contracts outstanding related to forecasted inventory purchases were $98.2 million (€78.0 million) and $66.3 million (€45.8 million) at June 30, 2012 and 2011. The notional amount represents the future cash flows under contracts to purchase foreign currencies.

 

Other Derivatives

 

The Company also enters into foreign exchange forward contracts to reduce the short-term effects of foreign currency fluctuations on certain foreign currency receivables or payables. These forward contracts generally mature within three months. The Company may also enter into foreign exchange swap contracts to economically extend the terms of its foreign exchange forward contracts. The primary risk managed by using forward and swap contracts is the foreign currency exchange rate risk. The gains or losses on foreign exchange forward contracts are recognized in earnings based on the changes in fair value.

 

The notional amounts of foreign exchange forward contracts outstanding at June 30, 2012 and 2011 relating to foreign currency receivables or payables were $6.4 million and $8.9 million. Open forward contracts as of June 30, 2012 consisted of contracts in euros to sell British pounds and contracts in Australian dollars to purchase U.S. dollars at future dates at pre-determined exchange rates. Open forward contracts as of June 30, 2011 consisted of contracts in British pounds to purchase euros at a future date at a predetermined exchange rate. The notional amounts of foreign exchange swap contracts outstanding at June 30, 2012 and 2011 were $24.7 million and $14.6 million. Swap contracts outstanding at June 30, 2012 consisted of contracts in Taiwanese dollars, Mexican pesos and Japanese yen. Swap contracts outstanding at June 30, 2011 consisted of contracts in Mexican pesos and Japanese yen.

 

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Table of Contents

 

The fair value of all our foreign exchange forward contracts and foreign exchange swap contracts is determined based on observable market transactions of spot currency rates and forward rates. Cash flows from these contracts are classified as operating activities in the consolidated statements of cash flows.

 

Note 8 — Goodwill and Other Intangible Assets

 

There were no changes in the Company’s goodwill accounts during the three months ended June 30, 2012 or 2011 attributable to activity other than fluctuations in foreign currency rates.

 

The Company evaluates the goodwill of each reporting unit for impairment at least annually as of December 31, or more frequently if events or circumstances warrant. The Company’s reporting units consist of peripherals and video conferencing. On April 25, 2012, the Company announced a restructuring plan as described in Note 13, and as a result, management performed a test to evaluate the recoverability of goodwill after implementation of the restructuring. The Company measures the recoverability of goodwill at the reporting unit level by comparing the reporting unit’s carrying amount, including goodwill, to the estimated fair value of the reporting unit. The fair value is estimated using a discounted cash flow model, which considers estimates of projected future operating results and cash flows, discounted at an estimated after-tax weighted-average cost of capital. In addition, market-based valuation techniques are used to test the reasonableness of the value indicated by the discounted cash flow model. In the market-based valuation technique, the implied premium of the aggregate fair value over the market capitalization is considered attributable to an acquisition control premium, which is the price in excess of a stock’s market price that investors would typically pay to gain control of an entity. The discounted cash flow model and the market-based valuation techniques require the exercise of significant judgment, including assumptions about appropriate discount rates, long-term growth rates for purposes of determining a terminal value at the end of the discrete forecast period, economic expectations, timing of expected future cash flows, and expectations of returns on equity that will be achieved. Such assumptions are subject to change as a result of changing economic and competitive conditions. If the carrying amount of the reporting unit exceeds its fair value, goodwill is considered impaired, and a second test is performed to measure the amount of impairment loss by allocating the reporting unit’s fair value to its assets and liabilities other than goodwill, comparing the resulting implied fair value of goodwill with its carrying amount, and recording an impairment charge for the difference.

 

As of June 30, 2012, the carrying value of goodwill attributable to its peripherals and video conferencing reporting units was $219.3 million and $338.9 million. The goodwill impairment evaluation performed by management as of June 30, 2012 indicated that the fair value of its peripherals reporting unit exceeded the carrying value of the reporting unit by more than 70% of the carrying value, and the fair value of its video conferencing reporting unit exceeded the carrying value of the reporting unit by more than 100% of the carrying value.

 

In connection with the restructuring, management also reviewed long-lived assets, such as property and equipment, and intangible assets, for recoverability by comparing the projected undiscounted net cash flows associated with those assets to their carrying values. No impairment of long-lived assets was required as a result of the review.

 

Management continues to evaluate and monitor all key factors impacting the carrying value of the Company’s recorded goodwill and long-lived assets. Further adverse changes in the Company’s expected operating results, market capitalization, business climate, or other negative events could result in a material non-cash impairment charge in the future.

 

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Table of Contents

 

The Company’s acquired other intangible assets subject to amortization were as follows (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

 

 

Amount

 

Amortization

 

Amount

 

Amount

 

Amortization

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Trademark/tradename

 

$

32,053

 

$

(26,754

)

$

5,299

 

$

32,104

 

$

(26,095

)

$

6,009

 

Technology

 

91,732

 

(66,283

)

25,449

 

91,954

 

(62,548

)

29,406

 

Customer contracts

 

39,846

 

(23,557

)

16,289

 

39,926

 

(21,823

)

18,103

 

 

 

$

163,631

 

$

(116,594

)

$

47,037

 

$

163,984

 

$

(110,466

)

$

53,518

 

 

For the three months ended June 30, 2012 and 2011, amortization expense for other intangible assets was $6.2 million and $6.6 million. The Company expects that amortization expense for the remaining nine months of fiscal year 2013 will be $18.2 million, and annual amortization expense for fiscal years 2014, 2015 and 2016 will be $18.2 million, $9.1 million, and $1.2 million, and $0.3 million thereafter.

 

Note 9 — Financing Arrangements

 

In December 2011, the Company entered into a Senior Revolving Credit Facility Agreement with a group of primarily Swiss banks that provides for a revolving multicurrency unsecured credit facility in an amount of up to $250.0 million. The Company may, upon notice to the lenders and subject to certain requirements, arrange with existing or new lenders to provide up to an aggregate of $150.0 million in additional commitments, for a total of $400.0 million of unsecured revolving credit. The credit facility may be used for working capital, general corporate purposes, and acquisitions. There were no outstanding borrowings under the credit facility at June 30, 2012.

 

The credit facility matures on October 31, 2016. The Company may prepay the loans under the credit facility in whole or in part at any time without premium or penalty. Borrowings under the credit facility will accrue interest at a per annum rate based on LIBOR (London Interbank Offered Rate), or EURIBOR (Euro Interbank Offered Rate) in the case of loans denominated in euros, plus a variable margin determined quarterly based on the ratio of senior debt-to-earnings before interest, taxes, depreciation and amortization for the preceding four-quarter period, plus, if applicable, an additional rate per annum intended to compensate the lenders for the cost of compliance with regulatory reserve requirements and other banking regulations. The Company also pays a quarterly commitment fee of 40% of the applicable margin on the available commitment. In connection with entering into the credit facility, the Company incurred non-recurring fees totaling $1.5 million, which are amortized on a straight-line basis over the term of the credit facility.

 

The facility agreement contains representations, covenants, including threshold financial covenants, and events of default customary in Swiss credit markets. Affirmative covenants include covenants regarding reporting requirements, maintenance of insurance, maintenance of properties and compliance with applicable laws and regulations, and financial covenants that require the maintenance of net senior debt, interest cover and adjusted equity ratios determined in accordance with the terms of the facility. Negative covenants limit the ability of the Company and its subsidiaries, among other things, to grant liens, make investments, incur debt, make restricted payments, enter into a merger or acquisition, or sell, transfer or dispose of assets, in each case subject to certain exceptions. As of June 30, 2012, the Company was in compliance with all covenants and conditions.

 

Upon an uncured event of default under the facility, the lenders may declare all or a portion of the outstanding obligations payable by the Company to be immediately due and payable, terminate their commitments and exercise other rights and remedies provided for under the facility. The events of default under the facility include, among other things, payment defaults, covenant defaults, inaccuracy of representations and warranties, cross defaults with certain other indebtedness, bankruptcy and insolvency events and events that have a material adverse effect (as defined in the facility). Upon a change of control of the Company, lenders whose commitments aggregate more than two-thirds of the total commitments under the facility may terminate the commitments and declare all outstanding obligations to be due and payable.

 

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Table of Contents

 

The Company had several uncommitted, unsecured bank lines of credit aggregating $43.9 million at June 30, 2012. There are no financial covenants under these lines of credit with which the Company must comply. At June 30, 2012, the Company had no outstanding borrowings under these lines of credit. The Company also had credit lines related to corporate credit cards totaling $29.9 million as of June 30, 2012. The outstanding borrowings under these credit lines are recorded in other current liabilities. There are no financial covenants under these credit lines.

 

Note 10 — Commitments and Contingencies

 

Operating Leases

 

The Company leases facilities under operating leases, certain of which require it to pay property taxes, insurance and maintenance costs. Operating leases for facilities are generally renewable at the Company’s option and usually include escalation clauses linked to inflation. Future minimum annual rentals under non-cancelable operating leases at June 30, 2012 amounted to $106.0 million. In the three months ended June 30, 2012, the Company recognized additional rent expense of $3.4 million, representing the fair value of future rent obligations on its former Americas headquarters, which are no longer used by the Company.

 

In connection with its leased facilities, the Company has recognized a liability for asset retirement obligations representing the present value of estimated remediation costs to be incurred at lease expiration. The following table describes changes to the Company’s asset retirement obligation liability for the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Asset retirement obligations, beginning of period

 

$

1,918

 

$

1,636

 

Liabilities incurred

 

 

 

Liabilities settled

 

 

(17

)

Accretion expense

 

12

 

19

 

Foreign currency translation

 

71

 

32

 

Asset retirement obligations, end of period

 

$

2,001

 

$

1,670

 

 

Product Warranties

 

Certain of the Company’s products are covered by warranty to be free from defects in material and workmanship for periods ranging from one year to five years. At the time of sale, the Company accrues a warranty liability for estimated costs to provide products, parts or services to repair or replace products in satisfaction of the warranty obligation. The Company’s estimate of costs to fulfill its warranty obligations is based on historical experience and expectations of future conditions. When the Company experiences changes in warranty claim activity or costs associated with fulfilling those claims, the warranty liability is adjusted accordingly. Changes in the Company’s warranty liability for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Warranty liability, beginning of period

 

$

5,184

 

$

4,970

 

Provision for warranties issued during the period

 

1,632

 

4,421

 

Settlements made during the period

 

(1,995

)

(4,758

)

Warranty liability, end of period

 

$

4,821

 

$

4,633

 

 

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Table of Contents

 

Purchase Commitments

 

At June 30, 2012, the Company had the following outstanding purchase commitments:

 

 

 

June 30, 2012

 

 

 

 

 

Inventory purchases

 

$

152,617

 

Operating expenses

 

57,655

 

Capital expenditures

 

21,896

 

Total purchase commitments

 

$

232,168

 

 

Commitments for inventory purchases are made in the normal course of business to original design manufacturers, contract manufacturers and other suppliers and are expected to be fulfilled by December 2012. Operating expense commitments are for consulting services, marketing arrangements, advertising, outsourced customer services, information technology maintenance and support services, and other services. Fixed purchase commitments for capital expenditures primarily related to commitments for computer hardware and leasehold improvements. Although open purchase orders are considered enforceable and legally binding, the terms generally allow the Company the option to reschedule and adjust its requirements based on the business needs prior to delivery of goods or performance of services.

 

Guarantees

 

Logitech International S.A., the parent holding company, has guaranteed payment of the purchase obligations of various subsidiaries from certain component suppliers. These guarantees generally have an unlimited term. The maximum potential future payment under the guarantee arrangements is limited to $36.0 million. At June 30, 2012, there were no purchase obligations outstanding for which the parent holding company was required to guarantee payment.

 

Logitech Europe S.A., a subsidiary of the parent holding company, has guaranteed the purchase obligations of another Logitech subsidiary and third-party contract manufacturers under three guarantee agreements. Two of these guarantees do not specify a maximum amount. The remaining guarantee has a total limit of $7.0 million. As of June 30, 2012, $3.6 million of guaranteed purchase obligations were outstanding under these guarantees. Logitech Europe S.A. has also guaranteed payment of the purchase obligations of a third-party contract manufacturer under three guarantee agreements. The maximum amount of these guarantees was $3.7 million as of June 30, 2012. As of June 30, 2012, $1.7 million of guaranteed purchase obligations were outstanding under these agreements.

 

Logitech International S.A. and Logitech Europe S.A. have guaranteed certain contingent liabilities of various subsidiaries related to transactions occurring in the normal course of business. The maximum amount of the guarantees was $67.9 million as of June 30, 2012. As of June 30, 2012, $15.7 million of guaranteed liabilities were subject to these guarantees.

 

Indemnifications

 

Logitech indemnifies some of its suppliers and customers for losses arising from matters such as intellectual property disputes and product safety defects, subject to certain restrictions. The scope of these indemnities varies, but in some instances, includes indemnification for damages and expenses, including reasonable attorneys’ fees. No amounts have been accrued for indemnification provisions at June 30, 2012. The Company does not believe, based on historical experience and information currently available, that it is probable that any material amounts will be required to be paid under its indemnification arrangements.

 

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Table of Contents

 

Logitech also indemnifies its current and former directors and certain of its current and former officers. Certain costs incurred for providing such indemnification may be recoverable under various insurance policies. Logitech is unable to reasonably estimate the maximum amount that could be payable under these arrangements because these exposures are not capped, the obligations are conditional in nature, and the facts and circumstances involved in any situation that might arise are variable.

 

Legal Proceedings

 

On May 23, 2011, a class action complaint was filed against Logitech International S.A. and certain of its officers in the United States District Court for the Southern District of New York on behalf of individuals who purchased Logitech shares between October 28, 2010 and April 1, 2011. The complaint relates to Logitech’s disclosure on March 31, 2011 that its results for fiscal year 2011 would fall below expectations and seeks unspecified monetary damages and other relief against the defendants. The action was transferred to the United States District Court for the Northern District of California on July 28, 2011. The California Court appointed a lead plaintiff on October 27, 2011. The plaintiff filed an amended complaint on January 9, 2012 which expanded the alleged class period to between October 28, 2010 and September 22, 2011. On July 13, 2012, the California Court granted defendants’ motion to dismiss the amended complaint, with leave to amend.

 

On July 15, 2011, a complaint was filed against Logitech International S.A. and two of its subsidiaries in the United States District Court for the Central District of California by Universal Electronics, Inc. (UEI). On November 3, 2011, the Company filed a counter suit against UEI. On July 18, 2012, Logitech and UEI signed a nonbinding settlement and license agreement term sheet, and the District Court thereafter dismissed the suits without prejudice to the right, upon good cause shown within 60 days, to reopen the action if a settlement is not consummated.

 

In addition, from time to time the Company is involved in claims and legal proceedings which arise in the ordinary course of its business. The Company is currently subject to several such claims and a small number of legal proceedings.

 

The Company believes these lawsuits and claims lack merit and intends to vigorously defend against them. However, there can be no assurances that its defenses will be successful, or that any judgment or settlement in any of these lawsuits would not have a material adverse impact on the Company’s business, financial condition, cash flows and results of operations. The Company is presently unable to estimate the effects of these claims and legal proceedings on its results of operations, cash flows or financial position.

 

Note 11 — Shareholders’ Equity

 

Capital Distribution

 

The Board of Directors has proposed that the Company distribute CHF 125.7 million of qualifying additional paid-in capital to shareholders out of its capital contribution reserves. If approved by shareholders, the cash is expected to be distributed in September 2012.

 

Share Repurchases

 

During the three months ended June 30, 2012 and 2011, the Company had in place the approved share buyback programs shown in the following table (in thousands, excluding transaction costs). The amended September 2008 share buyback program enables the Company to repurchase shares for cancellation.

 

Date of Announcement

 

Approved
Share
Buyback
Number

 

Approved
Buyback
Amount

 

Expiration Date

 

Completion Date

 

Number of
Shares
Remaining (1)

 

Amount
Remaining

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

28,465

 

$

177,030

 

August 2013

 

 

414

 

$

4,435

 

September 2008

 

8,344

 

$

250,000

 

August 2013

 

 

 

 

 


(1)  Represents an estimate of the number of shares remaining to be repurchased, calculated based on the $4.4 million amount remaining to repurchase as of June 30, 2012 divided by the CHF 10.22 per share adjusted closing price on the SIX Swiss Exchange as of the same date, translated at the exchange rate on June 30, 2012.

 

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During the three months ended June 30, 2012 and 2011, the Company repurchased shares under these programs as follows (in thousands):

 

 

 

Amounts Repurchased During Three Months ended June 30, (1)

 

Date of 

 

Program to date

 

2012

 

2011

 

Announcement

 

Shares

 

Amount

 

Shares

 

Amount

 

Shares

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

18,500

 

$

172,857

 

8,600

 

$

89,955

 

 

$

 

September 2008

 

7,609

 

73,134

 

 

 

 

 

 

 

26,109

 

$

245,991

 

8,600

 

$

89,955

 

 

$

 

 


(1)  Represents the amount in U.S. dollars, including transaction costs, calculated based on exchange rates on the repurchase dates.

 

The Company’s Board of Directors has proposed that shareholders approve, at the Company’s next Annual General Meeting of Shareholders, the cancellation of the 18.5 million shares repurchased under the September 2008 amended share buyback program.

 

Accumulated Other Comprehensive Loss

 

The components of accumulated other comprehensive loss were as follows (in thousands):

 

 

 

June 30,
2012

 

March 31,
2012

 

 

 

 

 

 

 

Cumulative translation adjustment

 

$

(73,119

)

$

(66,854

)

Pension liability adjustments, net of tax of $752 and $752

 

(27,444

)

(29,362

)

Unrealized gain on investments

 

 

343

 

Net deferred hedging gains (losses)

 

1,043

 

(56

)

 

 

$

(99,520

)

$

(95,929

)

 

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Table of Contents

 

Note 12 — Segment Information

 

Net sales by product family, excluding intercompany transactions, were as follows (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011 (*)

 

 

 

 

 

 

 

Retail - Pointing Devices

 

$

115,727

 

$

121,750

 

Retail - Keyboards & Desktops

 

110,445

 

94,596

 

Retail - Audio

 

90,047

 

77,673

 

Retail - Video

 

36,880

 

49,586

 

Retail - Gaming

 

27,274

 

37,166

 

Retail - Digital Home

 

14,728

 

14,005

 

OEM

 

36,675

 

49,178

 

Peripherals

 

431,776

 

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 


(*) Certain products within the retail product families as presented in the prior year have been reclassified to conform to the current year presentation, with no impact on previously reported total net retail sales.

 

The Company has two operating segments, peripherals and video conferencing, based on product markets and internal organizational structure. The peripherals segment encompasses the design, manufacturing and marketing of peripherals for PCs (personal computers), tablets and other digital platforms. The video conferencing segment consists of the LifeSize division, and encompasses the design, manufacturing and marketing of LifeSize video conferencing products, infrastructure and services for the enterprise, public sector and other business markets. The Company’s operating segments do not record revenue on sales between segments, as such sales are not material.

 

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Table of Contents

 

Operating performance measures for the peripherals segment and the video conferencing segment are reported separately to Logitech’s Chief Executive Officer, who is considered to be the Company’s chief operating decision maker. These operating performance measures do not include share-based compensation expense, amortization of intangible assets, and assets by operating segment. Share-based compensation expense and amortization of intangible assets are presented in the following financial information by operating segment as “all other.” Long-lived assets are presented by geographic region. Net sales, operating loss and depreciation and amortization for the Company’s operating segments were as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net sales by operating segment

 

 

 

 

 

Peripherals

 

$

431,776

 

$

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 

 

 

 

 

 

Operating loss by segment

 

 

 

 

 

Peripherals

 

$

(45,826

)

$

(26,879

)

Video Conferencing

 

(1,065

)

(1,808

)

All other

 

(12,389

)

(16,345

)

Total operating loss

 

$

(59,280

)

$

(45,032

)

 

 

 

 

 

 

Depreciation and amortization by segment

 

 

 

 

 

Peripherals

 

$

12,133

 

$

15,017

 

Video Conferencing

 

5,251

 

4,785

 

Total depreciation and amortization

 

$

17,384

 

$

19,802

 

 

Geographic net sales information in the table below is based on the location of the selling entity. Long-lived assets, primarily fixed assets, are reported below based on the location of the asset.

 

Net sales to unaffiliated customers by geographic region were as follows (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Americas

 

$

203,926

 

$

226,020

 

EMEA

 

150,006

 

130,852

 

Asia Pacific

 

114,672

 

123,569

 

Total net sales

 

$

468,604

 

$

480,441

 

 

Sales are attributed to countries on the basis of the customers’ locations. The United States and China each represented more than 10% of the Company’s total consolidated net sales for each of the quarters ended June 30, 2012 and 2011. No other single country represented more than 10% of the Company’s total consolidated net sales for the three months ended June 30, 2012 and 2011. One customer group represented 10% of net sales in each of the quarters ended June 30, 2012 and 2011.

 

Long-lived assets by geographic region were as follows (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

 

 

 

 

Americas

 

$

50,256

 

$

49,365

 

EMEA

 

8,529

 

9,304

 

Asia Pacific

 

40,969

 

41,576

 

Total long-lived assets

 

$

99,754

 

$

100,245

 

 

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Table of Contents

 

Long-lived assets in China and the United States each represented more than 10% of the Company’s total consolidated long-lived assets at June 30 and March 31, 2012.

 

Note 13 — Restructuring

 

On April 25, 2012, Logitech announced a restructuring plan to simplify the Company’s organization, to better align costs with its current business, and to free up resources to pursue growth opportunities. A majority of the restructuring activity was completed during the three months ended June 30, 2012. As part of this restructuring plan, the Company reduced its worldwide non-direct-labor workforce by approximately 340 employees. Charges and other costs related to the workforce reduction are presented as restructuring charges in the consolidated statements of operations. Charges of approximately $3.0 million related to discontinuance of certain product development efforts are included in cost of goods sold in the consolidated statements of operations. The Company estimates completing the restructuring plan during the current fiscal year, and incurring additional pre-tax restructuring charges related to employee termination costs, lease exit costs, and other associated costs of less than $5 million during the remaining nine months of fiscal year 2013.

 

The following table summarizes restructuring related activities during the three months ended June 30, 2012 (in thousands):

 

 

 

Total

 

Termination
Benefits

 

Lease Exit
Costs

 

Other

 

 

 

 

 

 

 

 

 

 

 

Balance at March 31, 2012

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Charges

 

31,227

 

28,655

 

1,472

 

1,100

 

Cash payments

 

(5,195

)

(4,766

)

 

(429

)

Foreign exchange

 

63

 

63

 

 

 

 

 

 

 

 

 

 

 

 

 

Balance at June 30, 2012

 

$

26,095

 

$

23,952

 

$

1,472

 

$

671

 

 

Termination benefits were calculated based on regional benefit practices and local statutory requirements. Lease exit costs primarily relate to costs associated with the closure of existing facilities. Other charges primarily consist of legal, consulting and other costs related to employee terminations.

 

Note 14 — Subsequent Event

 

Subsequent to June 30, 2012, the Company discontinued sales of a product which it determined carried an inaccurate regulatory label, and plans to withdraw the product from its customers and either re-label or replace the product.  The Company evaluated whether this matter resulted in a probable and estimable loss, and concluded that there was no significant loss that should have been recorded in the quarter ended June 30, 2012. In addition, the Company does not currently expect a material impact from this issue on future results of operations or cash flows.

 

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Table of Contents

 

ITEM 2.   MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

 

You should read the following discussion in conjunction with the interim unaudited Consolidated Financial Statements and related notes.

 

This Quarterly Report on Form 10-Q contains forward-looking statements within the meaning of Section 21E of the Securities Exchange Act of 1934. These forward-looking statements include, among other things, statements regarding our business strategy, the impact of  investment prioritization decisions, product offerings, sales and marketing initiatives, trends in consumer demand affecting our products and markets, trends in the composition of our customer base, our current or future revenue mix among our lower- and higher-margin products and our geographic sales mix, our expectations regarding the potential growth opportunities for our products in emerging markets, our competitive position and the effect of pricing, product, marketing and other initiatives by our competitors, the impact of our restructuring plan on future costs, expenses and financial performance, our estimates of future charges related to our restructuring plan, significant fluctuations in currency exchange rates, the impact of new product introductions and product innovation on future performance or anticipated costs and expenses, the sufficiency of our cash and cash equivalents, cash generated and available borrowings to fund future cash requirements, our expectations regarding our future working capital requirements and our anticipated capital expenditures needed to support our product development and expanded operations, our expectations regarding our potential indemnification obligations, and the outcome of pending or future legal proceedings and tax audits, and Logitech’s ability to achieve renewed growth, profitability and future success. Forward-looking statements also include, among others, those statements including the words “anticipate,” “believe,” “could,” “estimate,” “expect,” “forecast,” “intend,” “may,” “plan,” “project,” “predict,” “should,” “will,” and similar language. These forward-looking statements involve risks and uncertainties that could cause our actual performance to differ materially from that anticipated in the forward-looking statements. Factors that might cause or contribute to such differences include, but are not limited to, those discussed in the section titled “Risk Factors” in Part II, Item 1A of this quarterly report on Form 10-Q. You should carefully review the risks described in other documents we file from time to time with the Securities and Exchange Commission, including the Quarterly Reports on Form 10-Q or Current Reports on Form 8-K that we file in fiscal year 2013 and our fiscal year 2012 Form 10-K, which was filed on May 30, 2012, which discuss our business in greater detail. You are cautioned not to place undue reliance on the forward-looking statements, which speak only as of the date of this Quarterly Report on Form 10-Q. We undertake no obligation to publicly release any revisions to the forward-looking statements or reflect events or circumstances after the date of this document.

 

Overview of Our Company

 

Logitech is a world leader in products that connect people to the digital experiences they care about. Spanning multiple computing, communication and entertainment platforms, we develop and market innovative hardware and software products that enable or enhance digital navigation, music and video entertainment, gaming, social networking, audio and video communication over the Internet, video security and home-entertainment control. We have two operating segments, peripherals and video conferencing.

 

Our peripherals segment encompasses the design, manufacturing and marketing of peripherals for PCs (personal computers), tablets and other digital platforms. Our products for home and business PCs include mice, trackballs, keyboards, interactive gaming controllers, multimedia speakers, headsets and webcams. Our tablet accessories include keyboards, keyboard cases and covers, headsets, wireless speakers, earphones and stands. Our Internet communications products include webcams, headsets, video communications services, and digital video security systems. Our digital music products include speakers, earphones, custom in-ear monitors and Squeezebox Wi-Fi music players. For home entertainment systems, we offer the Harmony line of advanced remote controls. Our gaming products include a range of gaming controllers and microphones, as well as other accessories.

 

Our brand, portfolio management, product definition and engineering teams in our peripherals segment are responsible for product strategy, technological innovation, product design and development, and bringing our products to market. Our business groups are organized by product categories. Our global marketing organization is responsible for developing and building the Logitech brand, consumer insight, public relations and social media, customer care and digital marketing. Our regional retail sales and marketing activities are organized into

 

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three geographic areas: Americas (including North and South America), EMEA (Europe-Middle East-Africa), and Asia Pacific (including, among other countries, China, Taiwan, Japan, India and Australia).

 

We sell our peripheral products to a network of distributors, retailers, and OEMs. Our worldwide retail network includes wholesale distributors, consumer electronics retailers, mass merchandisers, specialty electronics stores, computer and telecommunications stores, value-added resellers, and online merchants. Sales of peripherals to our retail channels were 84% and 82% of our net sales for the three months ended June 30, 2012 and 2011. The large majority of our revenues have historically been derived from sales of our peripheral products for use by consumers. Our OEM customers include the majority of the world’s largest PC manufacturers. Sales to OEM customers were 8% and 10% of our net sales for the three months ended June 30, 2012 and 2011.

 

Our video conferencing segment encompasses the design, manufacturing and marketing of LifeSize video conferencing products, infrastructure, and services for the enterprise, public sector, and other business markets. LifeSize products include scalable HD (high-definition) video communication endpoints, HD video conferencing systems with integrated monitors, video bridges and other infrastructure software and hardware to support large-scale video deployments, and services to support these products. The LifeSize division maintains a separate marketing and sales organization, which sells LifeSize products and services worldwide. LifeSize product development and product management organizations are separate, but coordinated with our peripherals business, particularly our Consumer Computing Platforms group. We sell our LifeSize products and services to distributors, value-added resellers, OEMs, and, occasionally, direct enterprise customers. Sales of LifeSize products were 8% of our net sales in each of the three months ended June 30, 2012 and 2011.

 

We seek to fulfill the increasing demand for interfaces between people and the expanding digital world across multiple platforms and user environments. The interface evolves as platforms, user models and our target markets evolve. As access to digital information has expanded, we have extended our focus to mobile devices, the digital home, and the enterprise as access points to the Internet and the digital world. All of these platforms require interfaces that are customized according to how the devices are used. We believe that continued investment in product research and development is critical to creating the innovation required to strengthen our competitive advantage and to drive future sales growth. We are committed to identifying and meeting current and future customer trends with new and improved product technologies, partnering with others where our strengths are complementary, as well as leveraging the value of the Logitech and LifeSize brands from a competitive, channel partner and consumer experience perspective. We believe innovation and product quality are important to gaining market acceptance and maintaining market leadership.

 

We are developing new categories of products, such as tablet accessories, expanding in emerging retail markets, such as China, Russia, India and Latin America, increasing our presence in digital music, and entering new product arenas, such as hosted video conferencing as a service, and peripherals and services for UC (unified communications). As we do so, we are confronting new competitors, many of which have more experience in the categories or markets and have greater marketing resources and brand name recognition than we have. In addition, because of the continuing convergence of the markets for computing devices and consumer electronics, we expect greater competition in the future from well-established consumer electronics companies in our new categories as well as future ones we might enter. Many of these companies have greater financial, technical, sales, marketing and other resources than we have.

 

Our peripherals and video conferencing industries are intensely competitive. The peripherals industry is characterized by platform evolution, short product life cycles, continual performance enhancements, and rapid adoption of technological and product advancements by competitors in our retail markets, and price sensitivity in the OEM market. We experience aggressive price competition and other promotional activities from our primary competitors and from less established brands, including brands owned by some retail customers known as house brands, in response to declining consumer demand in both mature retail markets and OEM markets. We may also encounter more competition if any of our competitors in one or more categories decide to enter other categories in which we currently operate.

 

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As we address the current and future market challenges we face, we are simplifying our current product portfolio and roadmap to align our resources, prioritize our investments, and focus on fewer, more compelling products. From time to time, we may seek to partner with or acquire, when appropriate, companies that have products, personnel, and technologies that complement our strategic direction. We continually review our product offerings and our strategic direction in light of our profitability targets, competitive conditions, changing consumer trends, and the evolving nature of the interface between the consumer and the digital world.

 

Summary of Financial Results

 

Our total net sales for the three months ended June 30, 2012 decreased 2% compared with the three months ended June 30, 2011, primarily due to flat retail sales and a sharp decline in OEM sales. OEM sales decreased 25% in the three months ended June 30, 2012 compared with the same period of the prior fiscal year, and OEM units sold decreased 7%, primarily in keyboard/desktops and pointing devices.

 

Retail sales during the three months ended June 30, 2012 were flat and retail units increased 4% compared with the three months ended June 30, 2011. Growth in our EMEA region, led by the keyboards/desktops and audio categories, was offset by flat sales in our Asia Pacific region and sales declines in our Americas region, particularly in pointing devices, video, and gaming. If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, the percentage changes in our constant dollar retail sales would have been an increase of 28% in EMEA, a decrease of 1% in Asia Pacific, and a decrease of 11% in the Americas.

 

Sales of LifeSize Communications products, which were 8% of total net sales in both the three months ended June 30, 2012 and 2011, increased by 1% in the three months ended June 30, 2012 compared with the same period of the prior fiscal year, reflecting strong growth in the Asia Pacific region and weak sales in the Americas and EMEA regions.

 

Our gross margin for the three months ended June 30, 2012 improved to 30.8% compared with 26.1% in the same period of the prior fiscal year. Gross margin in the quarter ended June 30, 2011 was negatively impacted by an inventory valuation adjustment of $34.1 million related to Logitech Revue and related peripherals. In the quarter ended June 30, 2012, the primary negative impacts on gross margin were $4.5 million in pricing actions related to the simplification of our product portfolio and $3.0 million in restructuring-related costs.

 

Operating expenses for the three months ended June 30, 2012 were 43% of net sales compared with 36% in the same period of the prior fiscal year. Of the 19% increase over the prior year, 95% was attributable to $31.2 million in costs related to the restructuring plan initiated in April 2012.

 

Net loss for the three months ended June 30, 2012 was $52.1 million compared with $29.6 million in the three months ended June 30, 2011. The decline in net income was due to lower net sales and restructuring charges.

 

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Trends in Our Business

 

Our sales of PC peripherals for use by consumers in the Americas and Europe have historically made up the large majority of our revenues. We believe Logitech’s future growth will be determined by our ability to create innovative products across a multiplicity of digital platforms, to sustain the growth of our PC peripherals and to optimize growth opportunities in emerging markets, products for tablets, smartphones and other mobile devices, products for the consumption of digital music, sales to enterprise markets, and LifeSize video conferencing.

 

Emerging Markets. In our traditional, mature markets, such as North America, Western and Nordic Europe, Japan, and Australia, although the installed base of PC users is large, consumer demand for PCs and peripherals is slowing and potentially may decline in future years. We believe there are continued growth opportunities for our PC peripherals outside the more mature markets of the Americas and Europe. However, PCs may not continue to be a growth category in emerging markets, and consumers in emerging markets may prefer tablets, smartphones, other mobile devices or other technologies. We have invested significantly in growing the number of our sales, marketing and administrative personnel in China, one of our largest target emerging markets, with the result that China was our second-largest country in retail sales for the three months ended June 30, 2012. We are also expanding our presence and our sales in Russia, India and Latin America.

 

Tablets, Smartphones and Other Mobile Devices. The increasing popularity of smaller, mobile computing devices, such as tablets and smartphones with touch interfaces, have created new markets and usage models for peripherals and accessories. Logitech has begun to offer products to augment the use of mobile devices. For example, consumers are optimizing their audio experiences on their tablets and smartphones with premium earphones and wireless speakers that pair easily with their mobile devices. And they are enhancing their tablet experience with a range of accessories and peripherals that enable them to create, consume and share digital content more conveniently and comfortably.

 

Digital Music. We believe that digital music, the seamless consumption of audio content on home and mobile devices, presents a significant and natural growth opportunity for Logitech, based on our history of successful earphone, headset and speaker products. Many consumers listen to music as a pervasive entertainment activity, fueled by the growth in smartphones, tablets, music services and Internet radio. Logitech has a solid foundation of audio solutions to satisfy consumers’ needs for music consumption, including Logitech UE earphones and speakers, and Squeezebox Wi-Fi music players.

 

Enterprise Market.  We are also increasing our efforts on creating and selling products and services to enterprises. We believe the preferences of employees increasingly drive companies’ choices in the information technologies they deploy to their employee base, and this consumerization of information technology has made the enterprise market open to embracing consumer technology and design. We are still in the early stages of our enterprise market team’s efforts for our productivity peripherals. Growing our enterprise peripherals business will continue to require investment in creation of business-specific products, targeted product marketing, and sales channel development.

 

Video Conferencing.  The trend among businesses and institutions to use video conferencing offers a key growth opportunity for Logitech. However, the growth of our video conferencing segment depends in part on our ability to increase sales to enterprises with installed bases of competitor equipment, and to enterprises that may purchase competitor equipment in the future.

 

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We believe the ability of our LifeSize products to interoperate with the equipment of other telecommunications, video conferencing or telepresence equipment suppliers to be a key factor in purchasing decisions by current or prospective LifeSize customers. In addition, LifeSize has broadened its product portfolio to include infrastructure, cloud services and other offerings which require different approaches to developing customer solutions.

 

Some of our product categories are experiencing significant market challenges. As the quality of embedded webcams improves, we expect future sales of tethered consumer webcams in the consumer market to continue declining, as the embedded webcam experience appears to be sufficient to meet the needs of many retail consumers. We intend to address the market decline by enhancing our webcam product line-up to enable experiences that cannot be easily achieved with an embedded webcam. Sales in our digital home category have declined significantly. We believe the recent disappointing sales results for Harmony reflect the aging of our Harmony products at the mid- and high-level price points as we previously directed significant digital home engineering and marketing resources towards our Logitech Revue and related peripherals for Google TV. We have exited the Google TV product category, and we plan to strengthen our Harmony line in fiscal year 2013.

 

Sales of our OEM mice and keyboards have historically made up the bulk of our OEM sales. In recent years, the shift away from desktop PCs adversely affected our sales of OEM mice and keyboards, which are sold with name-brand desktop PCs. We expect this trend to continue and for OEM sales to comprise a smaller percentage of our total revenues in the future.

 

Our balance sheet includes goodwill of $219.3 million related to various past acquisitions which are part of our peripherals reporting unit, and $338.9 million related to our video conferencing reporting unit. We perform our annual goodwill impairment test annually as of December 31, or more frequently, if certain events or circumstances warrant. Events or changes in circumstances which might indicate potential impairment in goodwill include the company specific factors described in our Form 10-K, volatility in stock price, a sustained decline in market capitalization relative to net book value, and lower than projected revenue, market growth, or operating results. On April 25, 2012, the Company announced a restructuring plan as described in Note 13, and as a result, we performed a test as of June 30, 2012 to evaluate the recoverability of goodwill after implementation of the restructuring. The goodwill impairment evaluation we performed indicated that the fair value of our peripherals reporting unit exceeded the carrying value of the reporting unit by more than 70% of the carrying value, and the fair value of our video conferencing reporting unit exceeded the carrying value of the reporting unit by more than 100% of the carrying value. Also in connection with the restructuring, we reviewed long-lived assets, such as property, equipment, and intangible assets, for recoverability by comparing the projected undiscounted net cash flows associated with those assets to their carrying values. No impairment of long-lived assets was required as a result of the review. We continue to evaluate and monitor all key factors impacting the carrying value of our recorded goodwill and long-lived assets. Further adverse changes in our expected operating results, market capitalization, business climate, or other negative events could result in a material non-cash impairment charge in the future.

 

Most of our revenue comes from sales to our retail channels, which resell to consumers, retailers and distributors. As a result, our customers’ demand for our products depends in substantial part on trends in consumer confidence and consumer spending, as well as the levels of inventory which our customers, and their customers, choose to maintain. We use sell-through data, which represents sales of our products by our retailer customers to consumers, and by our distributor customers to their customers, along with other metrics to assess consumer demand for our products. Sell-through data is subject to limitations due to collection methods and the third

 

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party nature of the data. Although the sell-through data we obtain typically represents a majority of our retail sales, the customers supplying the data vary by geographic region and from period to period. As a result of these limitations, sell-through data may not be an accurate indicator of actual consumer demand for our products.

 

Although our financial results are reported in U.S. dollars, approximately 44% of our sales for the three months ended June 30, 2012 were made in currencies other than the U.S. dollar, such as the euro, Chinese renminbi, Japanese yen, Canadian dollar and Australian dollar. Our product costs are primarily in U.S. dollars and Chinese renminbi. Our operating expenses are incurred in U.S. dollars, Chinese renminbi, Swiss francs, euros, and, to a lesser extent, 27 other currencies. To the extent that the U.S. dollar significantly increases or decreases in value relative to the currencies in which our sales and operating expenses are denominated, the reported dollar amounts of our sales and expenses may decrease or increase

 

Our gross margins vary with the mix of products sold, competitive activity, product life cycle, new product introductions, unit volumes, commodity and supply chain costs, foreign currency exchange rate fluctuations, geographic sales mix, and the complexity and functionality of new product introductions. Changes in consumer demand affect the need for us to undertake promotional efforts, such as cooperative marketing arrangements, customer incentive programs or other pricing programs, which alter our product gross margins. Our gross margins may also be impacted by the effect of foreign currency exchange rate fluctuations on our revenue, and by macroeconomic conditions in the various global regions in which we operate.

 

Logitech is incorporated in Switzerland but operates in various countries with differing tax laws and rates. A portion of our income before taxes and the provision for income taxes are generated outside of Switzerland. Therefore, our effective income tax rate depends on the amount of profits generated in each of the various tax jurisdictions in which we operate. For the three months ended June 30, 2012 and 2011, the income tax benefits were $6.9 million and $9.5 million based on effective income tax rates of 11.7% and 24.4% of pre-tax loss. The change in the effective income tax rate for the three months ended June 30, 2012 compared with 2011 was primarily due to the mix of income and losses in the various tax jurisdictions in which the Company operates, and the treatment of restructuring expenses as a discrete event in determining the annual effective tax rate. The Company is under examination and has received assessment notices in various tax jurisdictions. We are not able to estimate the potential impact that these examinations may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on our consolidated operating results.

 

Critical Accounting Estimates

 

The preparation of financial statements and related disclosures in conformity with U.S. GAAP (generally accepted accounting principles in the United States of America) requires the Company to make judgments, estimates and assumptions that affect reported amounts of assets, liabilities, net sales and expenses, and the disclosure of contingent assets and liabilities.

 

We consider an accounting estimate critical if it: (i) requires management to make judgments and estimates about matters that are inherently uncertain; and (ii) is important to an understanding of Logitech’s financial condition and operating results.

 

We base our estimates on historical experience and on various other assumptions we believe to be reasonable under the circumstances. Although these estimates are based on management’s best knowledge of current events and actions that may impact the Company in the future, actual results could differ from

 

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those estimates. Management has discussed the development, selection and disclosure of these critical accounting estimates with the Audit Committee of the Board of Directors.

 

There have been no significant changes during the three months ended June 30, 2012 to the nature of the critical accounting estimates disclosed in the Management’s Discussion and Analysis of Financial Condition and Results of Operations in our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Results of Operations

 

Net Sales

 

Net sales by channel for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

 

 

2012

 

2011

 

Change %

 

 

 

 

 

 

 

 

 

Retail

 

$

395,101

 

$

394,776

 

0

%

OEM

 

36,675

 

49,178

 

(25

)%

Video Conferencing

 

36,828

 

36,487

 

1

%

Total net sales

 

$

468,604

 

$

480,441

 

(2

)%

 

The following table presents the approximate percentage of the Company’s total net sales that were denominated in currencies other than the U.S. dollar in the three months ended June 30, 2012 and 2011:

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Currencies other than USD

 

44

%

34

%

 

If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, the percentage change in our constant dollar net sales would have been:

 

 

 

Three Months Ended

 

 

 

June 30, 2012

 

 

 

 

 

Retail

 

3

%

OEM

 

(26

)%

LifeSize

 

1

%

Total net sales

 

0

%

 

Our retail sales in the three months ended June 30, 2012 were flat compared with the prior fiscal year, as the retail sales increase in the EMEA region was offset by a decline in the Americas region. Retail units sold increased 4% during the three months ended June 30, 2012, compared with the preceding fiscal year. Our overall retail average selling price declined 4% in the three months ended June 30, 2012, compared with the preceding fiscal year. Products priced below $40 represented approximately 53% and 61% of retail sales in the three months ended June 30, 2012 and 2011, while products priced above $100 represented 13% and 14% of retail sales in the three months ended June 30, 2012 and 2011. If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, our constant dollar retail sales increase would have been 3%.

 

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OEM net sales decreased 25% and units sold decreased 7% in the three months ended June 30, 2012 compared with the preceding fiscal year. The decline was primarily due to lower sales in the keyboard/desktop category due to product mix changes with a large customer, and lower sales of OEM mice.

 

LifeSize net sales increased 1% in the three months ended June 30, 2012 over 2011, primarily driven by growth in the Asia Pacific region, offset by weak sales in the Americas and EMEA regions. Foreign currency exchange rates did not affect LifeSize sales.

 

We refer to our net sales excluding the impact of foreign currency exchange rates as constant dollar sales. Constant dollar sales are a non-GAAP financial measure, which is information derived from consolidated financial information but not presented in our financial statements prepared in accordance with U.S. GAAP. Our management uses these non-GAAP measures in its financial and operational decision-making, and believes these non-GAAP measures, when considered in conjunction with the corresponding GAAP measures, facilitate a better understanding of changes in net sales. Constant dollar sales are calculated by translating prior period sales in each local currency at the current period’s average exchange rate for that currency.

 

Retail Sales by Region

 

The following table presents the changes in retail units sold, retail sales and constant dollar retail sales by region for the three months ended June 30, 2012 compared with the three months ended June 30, 2011.

 

 

 

Three months ended June 30, 2012

 

 

 

Change in

 

 

 

Change in

 

 

 

Retail Units

 

Change in

 

Constant Dollar

 

 

 

Sold

 

Retail Sales

 

Retail Sales

 

 

 

 

 

 

 

 

 

EMEA

 

10

%

17

%

28

%

Asia Pacific

 

7

%

0

%

(1

)%

Americas

 

(5

)%

(11

)%

(11

)%

Total retail sales

 

4

%

0

%

3

%

 

Our EMEA region was our strongest growing region in the first quarter of fiscal year 2013 compared with the same period in the prior fiscal year, primarily due to improved execution and management of programs with our channel partners. Sales increased significantly in the keyboards/desktops and audio product categories, and increased modestly for pointing devices. These increases were offset in part by decreases in gaming, video and digital home. Sales results varied by country, with declining sales in France and Spain, and strong year-over-year growth in Germany, the United Kingdom, and the Netherlands. Retail sell-through in the EMEA region decreased 1% in the three months ended June 30, 2012 compared with the prior fiscal year.

 

Asia Pacific region retail sales were relatively flat for the three months ended June 30, 2012 compared with 2011, primarily due to weakness in Australia and India. Retail sales increased in pointing devices, keyboards/desktops and audio, but were offset by declines in gaming, video and digital home. Retail sales in China increased 9% during this period, with strong performance in keyboard/desktop and audio categories.  China was our second-largest country in terms of net revenue. Retail sell-through in China increased 14% in the three months ended June 30, 2012 over 2011, while retail sell-through in the rest of the Asia Pacific region grew modestly.

 

The decline in retail sales in the Americas region for the three months ended June 30, 2012 compared with 2011 was driven by double-digit percentage sales declines in pointing devices, video and gaming, offset in part by a double-digit percentage sales increase in digital home, and single-digit sales growth in

 

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desktop/keyboards and audio. Retail sell-through in the Americas region decreased 5% in the three months ended June 30, 2012 compared with 2011.

 

We use retail sell-through data, which represents sales of our products by our retailer customers to consumers, and by our distributor customers to their customers, along with other metrics, to assess consumer demand for our products. Sell-through data is subject to limitations due to collection methods and the third party nature of the data. Although the sell-through data we obtain typically represents a majority of our retail sales, the customers supplying the data vary by geographic region and from period to period. As a result of these limitations, sell-through data may not be an accurate indicator of actual consumer demand for our products.

 

Net Retail Sales by Product Category

 

Net retail sales by product category during the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

 

 

2012

 

2011

 

Change %

 

 

 

 

 

 

 

 

 

Retail - Pointing Devices

 

$

115,727

 

$

121,750

 

(5

)%

Retail - Keyboards & Desktops

 

110,445

 

94,596

 

17

%

Retail - Audio

 

90,047

 

77,673

 

16

%

Retail - Video

 

36,880

 

49,586

 

(26

)%

Retail - Gaming

 

27,274

 

37,166

 

(27

)%

Retail - Digital Home

 

14,728

 

14,005

 

5

%

Total net retail sales

 

$

395,101

 

$

394,776

 

0

%

 

Logitech’s Pointing Devices product category includes our mice, trackballs and other pointing devices. Keyboards and desktops (mouse and keyboard combined) include cordless and corded keyboards and desktops, and tablet keyboards. Audio includes headsets, unified communications products, and digital music products including docks, speakers, earphones, headphones, and Squeezebox wireless music systems. Our video product category is comprised of PC webcams and Alert video security systems. Gaming includes console, tablet, and PC gaming peripherals, including gaming mice and keyboards. The Digital Home product category combines our Harmony Remote controls and Logitech Revue with related peripherals. Net sales reflect accruals for product returns, cooperative marketing arrangements, customer incentive programs and pricing programs.

 

In the three months ended June 30, 2012, we changed the product category classification for a number of our retail products, in order to include all of our gaming-related retail sales in the gaming product category. The product categories impacted by this change include pointing devices, audio and gaming. Products within the retail product categories as presented in the three months ended June 30, 2011 have been reclassified to conform to the 2012 presentation, with no impact on previously reported total net retail sales.

 

Retail Pointing Devices

 

Retail sales of our pointing devices decreased 5% in the three months ended June 30, 2012 compared with 2011, while retail units sold decreased 1% during this period. The sales decline was concentrated in our Americas region, and was only partly offset by increases in our Asia Pacific and EMEA regions. The primary weakness was in our mid-priced cordless mice. Sales of all cordless mice decreased 8% in the three months ended June 30, 2012, while units sold increased 1%. Corded mice sales decreased 5% and units sold decreased 7% in the three months ended June 30, 2012 compared with 2011.

 

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Retail Keyboards and Desktops

 

Retail sales of keyboards and desktops increased 17% during the three months ended June 30, 2012, compared with the preceding fiscal year, while units sold increased 15% during this period. Sales growth was experienced in all regions, led by a 47% increase in EMEA. Sales of cordless keyboards and desktops increased 24% and units increased 42% in the three months ended June 30, 2012 compared with 2011. Sales of corded keyboards and desktops decreased 12% in dollars and 4% in units in the three months ended June 30, 2012. Our tablet keyboards made a significant contribution, as sales nearly doubled, led by very strong initial demand for the Logitech Ultrathin Keyboard Cover.

 

Retail Audio

 

Retail audio sales increased 16% in the three months ended June 30, 2012 compared with 2011, while retail units sold increased 10% during this period.  The sales increase was led by strong growth of our digital music products, led by our Squeezebox WiFi music systems, which nearly doubled in sales. Our Ultimate Ears line of earphones also contributed to the growth in audio, with sales increasing 43% over the prior year.  The Logitech Mini Boombox, a compact Bluetooth sound system that we began shipping in the latter part of fiscal year 2012, was another strong contributor to the growth. In addition, headset sales increased 20% in the three months ended June 30, 2012 compared with 2011, while retail PC speaker dollar and unit sales remained relatively flat.  Unified communication products sales experienced strong growth, increasing 143% in sales in the three months ended June 30, 2012 compared with 2011.

 

Retail Video

 

Retail sales of our video products declined 26% in the three months ended June 30, 2012 compared with 2011, while retail units sold decreased 18% during this period. The sales decrease was mainly due to weakness in our webcam product line, which continued to be negatively impacted by the combination of market trends and gaps in our product portfolio. The decline was most pronounced in the Americas region. We expect future sales of tethered consumer webcams in the consumer market to continue declining, as the embedded webcam experience appears to be sufficient to meet the needs of many retail consumers. We intend to address the market decline by enhancing our webcam product line-up to enable experiences that cannot be easily achieved with an embedded webcam. For example, we experienced strong growth from our recently launched Logitech HD Pro Webcam C920, which offers full HD 1080p video calls on Skype.

 

Retail Gaming

 

Retail sales of our gaming peripherals declined 27% in the three months ended June 30, 2012 compared with 2011, while retail units sold increased 10% during this period.  The decrease was primarily from PC gaming, due to sales declines in steering wheels, and from continued sales declines in console gaming.  PC gaming sales decreased by 16% in dollars and increased by 16% in units in the three months ended June 30, 2012, compared with the prior fiscal year. The difference between the decline in PC gaming sales and the increase in units reflects a mix shift away from steering wheels to lower-priced mice, keyboards and gamepads.  Console gaming sales decreased by 93% in dollars and 81% in units in the three months ended June 30, 2012, compared with 2011.

 

Retail Digital Home

 

Retail sales of our digital home category, which includes Harmony remotes and our discontinued Google TV peripherals, increased 5% in the three months ended June 30, 2012 compared with the prior fiscal year, while retail units sold increased 26% during this period. The significant difference between the sales increase and growth in units reflects stronger unit growth in the low end of this category.  Sales of Harmony remotes declined 10% in dollars and increased 16% in units in the three months ended June 30, 2012, compared with the prior fiscal year. We plan to strengthen our Harmony line-up in the coming months. Sales of refurbished Logitech Revue and related peripherals were $1.0 million in the quarter ended June 30, 2012. In the quarter ended June 30, 2012, sales of Logitech Revue were negative $1.3 million due to product returns.

 

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Gross Profit

 

Gross profit for the three months ended June 30, 2012 and 2011 was as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

 

 

2012

 

2011

 

Change

 

 

 

 

 

 

 

 

 

Net sales

 

$

468,604

 

$

480,441

 

(2

)%

Cost of goods sold

 

324,352

 

354,834

 

(9

)%

Gross profit

 

$

144,252

 

$

125,607

 

15

%

Gross margin

 

30.8

%

26.1

%

 

 

 

Gross profit consists of net sales, less cost of goods sold which includes materials, direct labor and related overhead costs, costs of manufacturing facilities, costs of purchasing components from outside suppliers, distribution costs, write-down of inventories and amortization of intangible assets.

 

The improvement in gross margin for the three months ended June 30, 2012 compared with the same period of the prior fiscal year primarily resulted from a $34.1 million valuation adjustment to cost of goods sold which occurred during the three months ended June 30, 2011. This valuation adjustment reflected the lower of cost or market on our inventory of Logitech Revue and related peripherals on hand and at our suppliers. The gross margin for the three months ended June 30, 2012 was negatively impacted by $4.5 million in pricing actions related to the simplification of our product portfolio in the Americas and EMEA regions, $3.0 million in costs related to product development efforts that were discontinued as a result of the restructuring, a provision for a likely settlement of a patent dispute, typical sales seasonality, and changes in product mix.

 

Operating Expenses

 

Operating expenses for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

 

 

2012

 

2011

 

Change

 

 

 

 

 

 

 

 

 

Marketing and selling

 

$

100,897

 

$

99,793

 

1

%

% of net sales

 

22

%

21

%

 

 

Research and development

 

38,928

 

39,981

 

(3

)%

% of net sales

 

8

%

8

%

 

 

General and administrative

 

32,480

 

30,865

 

5

%

% of net sales

 

7

%

6

%

 

 

Restructuring charges

 

31,227

 

 

100

%

% of net sales

 

7

%

0

%

 

 

Total operating expenses

 

$

203,532

 

$

170,639

 

19

%

 

The increase in total operating expenses as a percentage of net sales was primarily due to the restructuring plan initiated in April 2012, which resulted in $31.2 million in expenses incurred during the current quarter.

 

We refer to our operating expenses excluding the impact of foreign currency exchange rates as constant dollar operating expenses. Constant dollar operating expenses are a non-GAAP financial measure, which is information derived from consolidated financial information but not presented in our financial

 

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statements prepared in accordance with U.S. GAAP. Our management uses these non-GAAP measures in its financial and operational decision-making, and believes these non-GAAP measures, when considered in conjunction with the corresponding GAAP measures, facilitate a better understanding of changes in operating expenses. Constant dollar operating expenses are calculated by translating prior period operating expenses in each local currency at the current period’s average exchange rate for that currency.

 

Marketing and Selling

 

Marketing and selling expense consists of personnel and related overhead costs, corporate and product marketing, promotions, advertising, trade shows, customer and technical support and facilities costs.

 

Marketing and selling expense increased 1% in the three months ended June 30, 2012 compared with the same period of the prior fiscal year, primarily from increased investments in product design, advertising, consulting and marketing expenses.  These increases were substantially offset by decreases in personnel-related expenses and share-based compensation expense due to the reduction in worldwide workforce resulting from our recent restructuring plan.

 

If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, the percentage change in constant dollar marketing and sales expense would have been an increase of 4% instead of 1%.

 

Research and Development

 

Research and development expense consists of personnel and related overhead costs, contractors and outside consultants, supplies and materials, equipment depreciation and facilities costs, all associated with the design and development of new products and enhancements of existing products.

 

Although we continued to make investments in product development, we experienced a 3% decrease in research and development expense during the three months ended June 30, 2012, compared with the same period of the prior fiscal year, primarily from a decline in personnel-related expenses due to the reduction in worldwide workforce resulting from our recent restructuring plan.

 

If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, the change in constant dollar research and development expense would have been a decrease of 1% instead of 3%.

 

General and Administrative

 

General and administrative expense consists primarily of personnel and related overhead and facilities costs for the finance, information systems, executive, human resources and legal functions.

 

General and administrative expense increased by 5% from the three months ended June 30, 2011 to 2012, primarily from the write-off of the remaining lease obligations resulting from us exiting our former corporate headquarters.  This increase was offset in part by decreases in personnel-related expenses and share-based compensation expense due to the reduction in worldwide workforce from our recent restructuring plan.

 

If foreign currency exchange rates had been the same in the three months ended June 30, 2012 and 2011, the percentage change in constant dollar general and administrative expense would have been an increase of 8% instead of 5%.

 

Restructuring Charges

 

Restructuring charges consist of termination benefits, lease exit costs and other charges associated with the restructuring plan initiated in April 2012.

 

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The restructuring plan reduced our worldwide non-direct-labor workforce by approximately 340 employees, resulting in $28.7 million in termination benefits to those employees. Termination benefits are calculated based on regional benefit practices and local statutory requirements. Additional legal, consulting, and other costs of $1.1 million were incurred as a result of the terminations. We also incurred $1.5 million primarily related to costs associated with the closure of existing facilities. A majority of the restructuring activity was completed during the three months ended June 30, 2012. We estimate completing the restructuring plan during fiscal year 2013, and incurring additional pre-tax restructuring charges related to employee termination costs, lease exit costs, and other associated costs of less than $5 million during the remaining nine months of fiscal year 2013.

 

The following table summarizes restructuring-related activities during the three months ended June 30, 2012 (in thousands):

 

 

 

Total

 

Termination 
Benefits

 

Lease Exit 
Costs

 

Other

 

 

 

 

 

 

 

 

 

 

 

Balance at March 31, 2012

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Charges

 

31,227

 

28,655

 

1,472

 

1,100

 

Cash payments

 

(5,195

)

(4,766

)

 

(429

)

Foreign exchange

 

63

 

63

 

 

 

Balance at June 30, 2012

 

$

26,095

 

$

23,952

 

$

1,472

 

$

671

 

 

Interest Income, Net

 

Interest income and expense for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

 

 

2012

 

2011

 

Change

 

 

 

 

 

 

 

 

 

Interest income

 

$

732

 

$

690

 

6

%

Interest expense

 

(348

)

 

100

%

Interest income, net

 

$

384

 

$

690

 

(44

)%

 

The changes in interest income for the three months ended June 30, 2012 compared with the same period in the prior fiscal year resulted from higher invested balances, partially offset by slightly lower interest rates.

 

Interest expense for the three months ended June 30, 2012 represents commitment fees and non-recurring fees related to the revolving credit facility entered into in December 2011.

 

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Other Income (Expense), Net

 

Other income and expense for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Foreign currency exchange gain (loss), net

 

$

(671

)

$

340

 

Gain on sale of property and plant

 

 

4,904

 

Investment income (loss) related to deferred compensation plan

 

(411

)

188

 

Gain on sale of investments

 

831

 

 

Other, net

 

92

 

(241

)

Other income (expense), net

 

$

(159

)

$

5,191

 

 

Foreign currency exchange gains or losses relate to balances denominated in currencies other than the functional currency of a particular subsidiary, to the sale of currencies, and to gains or losses recognized on foreign exchange forward contracts. We do not speculate in currency positions, but we are alert to opportunities to maximize foreign exchange gains.

 

The $4.9 million gain on sale of property and plant for the three months ended June 30, 2011 relates to the sale of an unused manufacturing facility in China.

 

Investment income (loss) for the three months ended June 30, 2012 and 2011 represents earnings, gains, and losses on trading investments related to a deferred compensation plan offered by one of our subsidiaries.

 

During the three months ended June 30, 2012, we sold the remaining two of our available-for-sale securities with a total carrying value of $0.4 million and a total par value of $15.2 million for $0.9 million. This sale resulted in $0.8 million of gain recognized in other income (expense), net, $0.3 million of which resulted from the recognition of a temporary increase in fair value previously recorded in accumulated other comprehensive income.

 

Provision for Income Taxes

 

The provision for income taxes and effective tax rates for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Benefit from income taxes

 

$

(6,910

)

$

(9,545

)

Effective income tax rate

 

11.7

%

24.4

%

 

The provision for income taxes consists of income and withholding taxes. Logitech operates in multiple jurisdictions and its profits are taxed pursuant to the tax laws of these jurisdictions. The Company’s effective income tax rate may be affected by changes in or interpretations of tax laws in any given jurisdiction, utilization of net operating loss and tax credit carryforwards, changes in geographical mix of income and expense, and changes in management’s assessment of matters such as the ability to realize deferred tax assets.

 

On April 25, 2012, Logitech announced a restructuring plan to simplify the Company’s organization, to better align costs with its current business, and to free up resources to pursue growth opportunities. A majority of the restructuring was completed during the three months ended June 30, 2012. In determining the annual effective tax rate, the restructuring was treated as a discrete event in the quarter as it was significantly unusual and infrequent in nature. As such, restructuring-related charges and costs were

 

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excluded from ordinary income in determining the annual effective tax rate. The tax benefit associated with the restructuring is approximately $0.2 million.

 

The change in the effective income tax rate for the three months ended June 30, 2012 compared with the three months ended June 30, 2011 is primarily due to the mix of income and losses in the various tax jurisdictions in which the Company operates, and the treatment of restructuring expenses as a discrete event in determining the annual effective tax rate.

 

As of June 30 and March 31, 2012, the total amount of unrecognized tax benefits and related accrued interest and penalties due to uncertain tax positions was $141.0 million and $143.3 million, of which $124.0 million and $125.4 million would affect the effective income tax rate if recognized. The Company classified the unrecognized tax benefits as non-current income taxes payable.

 

The Company continues to recognize interest and penalties related to unrecognized tax positions in income tax expense. As of June 30 and March 31, 2012, the Company had approximately $7.5 million of accrued interest and penalties related to uncertain tax positions.

 

The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulted from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results.

 

In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. At this time, the Company is not able to estimate the potential impact that these examinations may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on the Company’s consolidated operating results.

 

Although the Company has adequately provided for uncertain tax positions, the provisions on these positions may change as revised estimates are made or the underlying matters are settled or otherwise resolved. It is reasonably possible that resolution of fiscal years 2006 and 2007 with the IRS will lead to a decrease of unrecognized tax benefits within the next twelve months, which may have a material positive effect on the Company’s consolidated operating results. At this time, the Company is not able to estimate the change as of June 30, 2012.

 

Liquidity and Capital Resources

 

Cash Balances, Available Borrowings, and Capital Resources

 

At June 30, 2012, our working capital was $448.1 million, compared with $576.7 million at March 31, 2012. The decrease in working capital over the prior year was primarily due to lower cash balances.

 

During the three months ended June 30, 2012, we used $7.1 million for operating activities. Our largest uses of operating cash flows were net loss after adding non-cash expenses of depreciation, amortization, and share-based compensation expense, and from a decrease in accounts payable. These uses of operating cash flows were offset by an increase in accrued liabilities, a decrease in inventories and a decrease in accounts receivables during this period. Net cash used in investing activities was $18.7 million, including $19.6 million for investments in leasehold improvements, computer hardware and software, tooling and equipment. Net cash used by financing activities was $89.7 million, primarily from using $90.0 million to repurchase 8.6 million shares under our share buyback program.

 

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At June 30, 2012, we had cash and cash equivalents of $360.7 million. Our cash and cash equivalents are comprised of bank demand deposits and short-term time deposits carried at cost, which is equivalent to fair value. Approximately 54% of our cash and cash equivalents are held by our Swiss-based entities, and approximately 36% is held by our subsidiaries in Hong Kong and China. We do not believe we would be subject to any material adverse tax impact or significantly inhibited by any country in which we do business from the repatriation of funds to Switzerland, our home domicile.

 

In December 2011, the Company entered into a Senior Revolving Credit Facility Agreement with a group of primarily Swiss banks that provides for a revolving multicurrency unsecured credit facility in an amount of up to $250.0 million. The Company may, upon notice to the lenders and subject to certain requirements, arrange with existing or new lenders to provide up to an aggregate of $150.0 million in additional commitments, for a total of $400.0 million of unsecured revolving credit. The credit facility may be used for working capital, general corporate purposes, and acquisitions. There were no outstanding borrowings under the credit facility at June 30, 2012.

 

The credit facility matures on October 31, 2016. The Company may prepay the loans under the credit facility in whole or in part at any time without premium or penalty. Borrowings under the credit facility will accrue interest at a per annum rate based on LIBOR (London Interbank Offered Rate), or EURIBOR (Euro Interbank Offered Rate) in the case of loans denominated in euros, plus a variable margin determined quarterly based on the ratio of senior debt to earnings before interest, taxes, depreciation and amortization for the preceding four-quarter period, plus, if applicable, an additional rate per annum intended to compensate the lenders for the cost of compliance with regulatory reserve requirements and other banking regulations. The Company also pays a quarterly commitment fee of 40% of the applicable margin on the available commitment. In connection with entering into the credit facility, the Company incurred non-recurring fees totaling $1.5 million, which are amortized on a straight-line basis over the term of the credit facility.

 

The facility agreement contains representations, covenants, including threshold financial covenants, and events of default customary in Swiss credit markets. Affirmative covenants include covenants regarding reporting requirements, maintenance of insurance, maintenance of properties and compliance with applicable laws and regulations, and financial covenants that require the maintenance of net senior debt, interest cover and adjusted equity ratios determined in accordance with the terms of the facility. Negative covenants limit the ability of the Company and its subsidiaries, among other things, to grant liens, make investments, incur debt, make restricted payments, enter into a merger or acquisition, or sell, transfer or dispose of assets, in each case subject to certain exceptions. As of June 30, 2012, the Company was in compliance with all covenants and conditions.

 

Upon an uncured event of default under the facility, the lenders may declare all or a portion of the outstanding obligations payable by the Company to be immediately due and payable, terminate their commitments and exercise other rights and remedies provided for under the facility. The events of default under the facility include, among other things, payment defaults, covenant defaults, inaccuracy of representations and warranties, cross defaults with certain other indebtedness, bankruptcy and insolvency events and events that have a material adverse effect (as defined in the facility). Upon a change of control of the Company, lenders whose commitments aggregate more than two-thirds of the total commitments under the facility may terminate the commitments and declare all outstanding obligations to be due and payable.

 

The Company has credit lines with several European and Asian banks totaling $43.9 million as of June 30, 2012. As is common for businesses in European and Asian countries, these credit lines are uncommitted and unsecured. Despite the lack of formal commitments from the banks, we believe that these lines of credit will continue to be made available because of our long-standing relationships with these banks and our current financial condition. At June 30, 2012, there were no outstanding borrowings under these lines of credit. There are no financial covenants under these facilities. The Company also has credit lines related to corporate credit cards totaling $29.9 million as of June 30, 2012. The outstanding

 

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borrowings under these credit lines are recorded in other current liabilities. There are no financial covenants under these credit lines.

 

Cash Flow from Operating Activities

 

The following table presents selected financial information and statistics as of June 30, 2012 and 2011 (dollars in thousands):

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Accounts receivable, net

 

$

213,973

 

$

241,456

 

Inventories

 

280,533

 

317,548

 

Working capital

 

448,129

 

607,809

 

Days sales in accounts receivable (DSO) (1)

 

41 days

 

45 days

 

Inventory turnover (ITO) (2)

 

4.6x

 

4.5x

 

Net cash (used in) provided by operating activities

 

$

(7,056

)

$

3,744

 

 


(1)                 DSO is determined using ending accounts receivable as of the most recent quarter-end and net sales for the most recent quarter.

(2)                 ITO is determined using ending inventories and annualized cost of goods sold (based on the most recent quarterly cost of goods sold).

 

During the three months ended June 30, 2012, we used net cash of $7.1 million for operating activities, compared with net cash generated of $3.7 million for the same period in the prior fiscal year. The primary drivers of the decline in operating cash flows include the increase in net loss, from $29.6 million in the three months ended June 30, 2011 to $52.1 million in the three months ended June 30, 2012, and from the $37.4 million decrease in accounts payables. These uses of operating cash flows were offset in part by a $42.8 million increase in accrued liabilities, a $11.4 million decrease in inventories and a $6.6 million decrease in accounts receivables during this period.

 

DSO for the three months ended June 30, 2012 decreased by 4 days compared with the same period of the prior fiscal year. The decrease in the three months ended June 30, 2012 over 2011 was primarily from lower accounts receivable balances due to increased cash collections. Typical payment terms require customers to pay for product sales generally within 30 to 60 days. However, terms may vary by customer type, by country and by selling season. Extended payment terms are sometimes offered to a limited number of customers during the second and third fiscal quarters. The Company does not modify payment terms on existing receivables, but may offer discounts for early payment.

 

Inventory turnover between the three months ended June 30, 2012 and 2011 remained relatively consistent between the two periods.

 

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Cash Flow from Investing Activities

 

Cash flows from investing activities during the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Purchases of property, plant and equipment

 

$

(19,621

)

$

(10,561

)

Proceeds from sale of property and plant

 

 

4,904

 

Proceeds from sale of available-for-sale securities

 

917

 

 

Purchases of trading investments

 

(1,397

)

(3,545

)

Proceeds from sale of trading investments

 

1,385

 

3,500

 

Net cash used in investing activities

 

$

(18,716

)

$

(5,702

)

 

Our expenditures for property, plant and equipment during the three months ended June 30, 2012 and 2011 were principally normal expenditures for leasehold improvements, computer hardware and software, tooling and equipment.

 

Proceeds from the sale of property and plant were related to the sale of an unused manufacturing facility in China in the three months ended June 30, 2011.

 

During the three months ended June 30, 2012, we sold our two remaining available-for-sale securities with a total carrying value of $0.4 million and a total par value of $15.2 million for $0.9 million. This sale resulted in $0.8 million of gain recognized in other income (expense), net, $0.3 million of which resulted from the recognition of a temporary increase in fair value previously recorded in accumulated other comprehensive income.

 

The purchases and sales of trading investments in the three months ended June 30, 2012 and 2011 represent mutual fund activity directed by participants in a deferred compensation plan offered by one of the Company’s subsidiaries. The mutual funds are held by a Rabbi Trust.

 

Cash Flow from Financing Activities

 

The following table presents information on our cash flows from financing activities during the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Purchase of treasury shares

 

$

(89,955

)

$

 

Proceeds from sale of shares upon exercise of options and purchase rights

 

404

 

607

 

Tax withholdings related to net share settlements of RSUs

 

(170

)

(176

)

Excess tax benefits from share-based compensation

 

5

 

24

 

Net cash (used in) provided by financing activities

 

$

(89,716

)

$

455

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Number of shares repurchased

 

8,600

 

 

Value of shares repurchased

 

$

89,955

 

$

 

 

During the three months ended June 30, 2012, we repurchased 8.6 million shares for $90.0 million under the Company’s amended September 2008 buyback program, compared with the three months ended June 30, 2011, during which no share repurchases were made. The amounts of the repurchases include transaction costs incurred as part of the repurchase.

 

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Cash of $0.4 million and $0.6 million was provided during the three months ended June 30, 2012 and 2011 from the sale of shares upon exercise of options and purchase rights pursuant to the Company’s stock plans. The payment of tax withholdings related to net share settlements of RSUs (restricted stock units) required the use of $0.2 million in cash in each of the three month periods ended June 30, 2012 and 2011.

 

Cash Outlook

 

Our principal sources of liquidity are our cash and cash equivalents, cash flow generated from operations and, to a lesser extent, capital markets and borrowings. Our future working capital requirements and capital expenditures may increase to support investment in product innovations and growth opportunities, to repurchase our stock, to distribute cash dividends, or to acquire or invest in complementary businesses, products, services, and technologies.

 

In December 2011, the Company entered into a Senior Revolving Credit Facility Agreement with a group of primarily Swiss banks that provides for a revolving multicurrency unsecured credit facility in an amount of up to $250.0 million. The Company may, upon notice to the lenders and subject to certain requirements, arrange with existing or new lenders to provide up to an aggregate of $150.0 million in additional commitments, for a total of $400.0 million of unsecured revolving credit. The credit facility may be used for working capital, general corporate purposes, and acquisitions. The credit facility matures on October 31, 2016. The Company may prepay the loans under the credit facility in whole or in part at any time without premium or penalty. The facility agreement contains representations, covenants, including threshold financial covenants, and events of default customary in Swiss credit markets. There were no outstanding borrowings under the credit facility at June 30, 2012. As of June 30, 2012, the Company was in compliance with all covenants and conditions.

 

In September 2008, our Board of Directors approved a share buyback program, which authorizes the Company to invest up to $250 million to purchase its own shares. In November 2011, the Company received approval from the Swiss regulatory authorities for an amendment to the September 2008 share buyback program to enable future repurchases of shares for cancellation. In fiscal year 2012, the Company repurchased 7.6 million shares for $73.1 million under the September 2008 program. Under the amended September 2008 program, the Company repurchased 9.9 million shares for $82.9 million in fiscal year 2012, and 8.6 million shares for $90.0 million in the three months ended June 30, 2012. As of June 30, 2012, the approved amount remaining under the amended September 2008 program was $4.4 million. Our Board of Directors has proposed that shareholders approve the cancellation of 18.5 million shares at the Company’s Annual General Meeting of Shareholders in September 2012.

 

The Board of Directors has also proposed that the Company distribute CHF 125.7 million of qualifying additional paid-in capital to shareholders out of its capital contribution reserves. If approved by shareholders, the cash is expected to be distributed in September 2012.

 

The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulting from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results.

 

In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. At this time, the Company is not able to estimate the potential impact that these examinations

 

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may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on the Company’s consolidated operating results.

 

Although the Company has adequately provided for uncertain tax positions, the provisions on these positions may change as revised estimates are made or the underlying matters are settled or otherwise resolved. It is reasonably possible that resolution of fiscal years 2006 and 2007 with the IRS will lead to a decrease of unrecognized tax benefits within the next twelve months, which may have a material positive effect on the Company’s operating results. At this time, the Company is not able to estimate the change as of June 30, 2012.

 

On April 25, 2012, we announced a restructuring plan to reduce operating costs and improve financial results. We estimate completing the restructuring plan during fiscal year 2013 and incurring additional pre-tax restructuring charges related to employee termination costs and other associated costs of less than $5 million during the remaining nine months of fiscal year 2013.

 

Other contractual obligations and commitments of the Company which require cash are described in the following sections.

 

For over ten years, we have generated positive cash flows from our operating activities, including cash from operations of $196.1 million in fiscal year 2012. During the three months ended June 30, 2012, our normal level of cash and cash equivalents was reduced by share repurchases and the net loss for the quarter. In addition, our restructuring plan will result in cash outlays in the second and third quarters of fiscal year 2013, and we intend to distribute cash of approximately CHF 125.7 million as a one-time distribution out of capital contribution reserves. If we do not generate sufficient operating cash flows to support our operations and future planned cash requirements, our operations could be harmed and our access to credit facilities could be restricted or eliminated.  However, we believe that the trend of our historical cash flow generation, our projections of future operations and reduced expenses, our available cash balances, credit lines and credit facility will provide sufficient liquidity to fund our operations for at least the next 12 months.

 

Although we believe that we can meet our liquidity needs, if we fail to meet our operating forecast or market conditions negatively affect our cash flows or ability to fund growth opportunities, we may be required to seek additional funding. If we seek additional funding, adequate funds may not be available on favorable terms, or at all. If adequate funds are not available on acceptable terms, or at all, we may be unable to adequately fund our business plans and it could have a negative effect on our business, operating cash flows and financial condition.

 

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Contractual Obligations and Commitments

 

As of June 30, 2012, the Company’s outstanding contractual obligations and commitments included: (i) facilities leased under operating lease commitments, (ii) purchase commitments and obligations, (iii) long-term liabilities for income taxes payable, and (iv) defined benefit pension plan and non-retirement post-employment benefit obligations. The following summarizes our contractual obligations and commitments at June 30, 2012 (in thousands):

 

 

 

June 30, 2012

 

 

 

 

 

Operating leases

 

$

106,035

 

Purchase commitments - inventory

 

152,617

 

Purchase obligations - capital expenditures

 

21,896

 

Purchase obligations - operating expenses

 

57,655

 

Income taxes payable - non-current

 

134,988

 

Obligation for deferred compensation

 

14,235

 

Pension and post-employment obligations

 

37,730

 

Other long-term liabilities

 

12,343

 

Total contractual obligations and commitments

 

$

537,499

 

 

Operating Leases

 

The Company leases facilities under operating leases, certain of which require it to pay property taxes, insurance and maintenance costs. Operating leases for facilities are generally renewable at the Company’s option and usually include escalation clauses linked to inflation. The remaining terms on our non-cancelable operating leases expire in various years through 2028. Our asset retirement obligations on these leases as of June 30, 2012 were $2.0 million.

 

Purchase Commitments

 

At June 30, 2012, we have fixed purchase commitments of $152.6 million for inventory purchases made in the normal course of business to original design manufacturers, contract manufacturers and other suppliers, which are expected to be fulfilled by December 2012. We also had commitments of $57.7 million for consulting services, marketing arrangements, advertising, outsourced customer services, information technology maintenance and support services, and other services. Fixed purchase commitments for capital expenditures amounted to $21.9 million at June 30, 2012, and primarily relate to commitments for computer hardware and leasehold improvements. We expect to continue making capital expenditures in the future to support product development activities and ongoing and expanded operations. Although open purchase commitments are considered enforceable and legally binding, the terms generally allow us the option to reschedule and adjust our requirements based on business needs prior to delivery of goods or performance of services.

 

Income Taxes Payable

 

At June 30, 2012, we had $135.0 million in non-current income taxes payable, including interest and penalties, related to our income tax liability for recognized uncertain tax positions, compared with $137.3 million in non-current taxes payable as of March 31, 2012.

 

The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulting from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results.

 

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In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. At this time, the Company is not able to estimate the potential impact that these examinations may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on the Company’s consolidated operating results.

 

Although the Company has adequately provided for uncertain tax positions, the provisions on these positions may change as revised estimates are made or the underlying matters are settled or otherwise resolved. It is reasonably possible that resolution of fiscal years 2006 and 2007 with the IRS will lead to a decrease of unrecognized tax benefits within the next twelve months, which may have a material positive effect on the Company’s consolidated operating results.  At this time, the Company is not able to estimate the change as of June 30, 2012.

 

Obligation for Deferred Compensation

 

At June 30, 2012, we had $14.2 million in liabilities related to a deferred compensation plan offered by one of the Company’s subsidiaries. For more information, please refer to our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Pension and Post-Employment Obligations

 

At June 30, 2012, we had $42.1 million in liabilities related to our defined benefit pension plans and non-retirement post-employment benefit obligations. For more information, please refer to our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Other Contractual Obligations and Commitments

 

For further detail about our contractual obligations and commitments, please refer to our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Off-Balance Sheet Arrangements

 

The Company has not entered into any transactions with unconsolidated entities whereby we have financial guarantees, subordinated retained interests, derivative instruments or other contingent arrangements that expose us to material continuing risks, contingent liabilities, or any other obligation under a variable interest in an unconsolidated entity that provides financing, liquidity, market risk or credit risk support to the Company.

 

Guarantees

 

Logitech International S.A., the parent holding company, has guaranteed payment of the purchase obligations of various subsidiaries from certain component suppliers. These guarantees generally have an unlimited term. The maximum potential future payment under the guarantee arrangements is limited to $36.0 million. At June 30, 2012, there were no purchase obligations outstanding for which the parent holding company was required to guarantee payment.

 

Logitech Europe S.A., a subsidiary of the parent holding company, has guaranteed the purchase obligations of another Logitech subsidiary and third-party contract manufacturers under three guarantee agreements. Two of these guarantees do not specify a maximum amount. The remaining guarantee has a total limit of $7.0 million. As of June 30, 2012, $3.6 million of guaranteed purchase obligations were outstanding under these guarantees. Logitech Europe S.A. has also guaranteed payment of the purchase obligations of a third-party contract manufacturer under three guarantee agreements. The maximum amount of these guarantees was $3.7 million as of June 30, 2012. As of June 30, 2012, $1.7 million of guaranteed purchase obligations were outstanding under these agreements.

 

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Logitech International S.A. and Logitech Europe S.A. have guaranteed certain contingent liabilities of various subsidiaries related to transactions occurring in the normal course of business. The maximum amount of the guarantees was $67.9 million as of June 30, 2012. As of June 30, 2012, $15.7 million of guaranteed liabilities were subject to these guarantees.

 

Indemnifications

 

Logitech indemnifies some of its suppliers and customers for losses arising from matters such as intellectual property disputes and product safety defects, subject to certain restrictions. The scope of these indemnities varies, but in some instances, includes indemnification for damages and expenses, including reasonable attorneys’ fees. No amounts have been accrued for indemnification provisions at June 30, 2012. The Company does not believe, based on historical experience and information currently available, that it is probable that any material amounts will be required to be paid under its indemnification arrangements.

 

Logitech also indemnifies its current and former directors and certain of its current and former officers. Certain costs incurred for providing such indemnification may be recoverable under various insurance policies. Logitech is unable to reasonably estimate the maximum amount that could be payable under these arrangements because these exposures are not capped, the obligations are conditional in nature, and the facts and circumstances involved in any situation that might arise.

 

Legal Proceedings

 

On May 23, 2011, a class action complaint was filed against Logitech International S.A. and certain of its officers in the United States District Court for the Southern District of New York on behalf of individuals who purchased Logitech shares between October 28, 2010 and April 1, 2011. The complaint relates to Logitech’s disclosure on March 31, 2011 that its results for fiscal year 2011 would fall below expectations and seeks unspecified monetary damages and other relief against the defendants. The action was transferred to the United States District Court for the Northern District of California on July 28, 2011. The California Court appointed a lead plaintiff on October 27, 2011. The plaintiff filed an amended complaint on January 9, 2012 which expanded the alleged class period to between October 28, 2010 and September 22, 2011. On July 13, 2012, the California Court granted defendants’ motion to dismiss the amended complaint, with leave to amend.

 

On July 15, 2011, a complaint was filed against Logitech International S.A. and two of its subsidiaries in the United States District Court for the Central District of California by Universal Electronics, Inc. (UEI). On November 3, 2011, the Company filed a counter suit against UEI. On July 18, 2012, Logitech and UEI signed a nonbinding settlement and license agreement term sheet, and the District Court thereafter dismissed the suits without prejudice to the right, upon good cause shown within 60 days, to reopen the action if a settlement is not consummated.

 

In addition, from time to time we become involved in claims and legal proceedings which arise in the ordinary course of our business. We are currently subject to several such claims and a small number of legal proceedings.

 

We believe these lawsuits and claims lack merit and intend to vigorously defend against them. However, there can be no assurances that our defenses will be successful, or that any judgment or settlement in any of these lawsuits would not have a material adverse impact on our business, financial condition, cash flows and results of operations. We are presently unable to estimate the effects of these claims and legal proceedings on our results of operations, cash flows or financial position.

 

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ITEM 3.   QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

 

Market Risk

 

Market risk represents the potential for loss due to adverse changes in the fair value of financial instruments. As a global concern, the Company faces exposure to adverse movements in foreign currency exchange rates and interest rates. These exposures may change over time as business practices evolve and could have a material adverse impact on the Company’s financial results.

 

Foreign Currency Exchange Rates

 

The Company is exposed to foreign currency exchange rate risk as it transacts business in multiple foreign currencies, including exposure related to anticipated sales, anticipated purchases and assets and liabilities denominated in currencies other than the U.S. dollar. Logitech transacts business in over 30 currencies worldwide, of which the most significant to operations are the CNY (Chinese renminbi), Taiwanese dollar, euro, British pound, Russian ruble and Canadian dollar. The functional currency of the Company’s operations is primarily the U.S. dollar. To a lesser extent, certain operations use the euro, CNY, Swiss franc or the local currency of the country as their functional currencies. Accordingly, unrealized foreign currency gains or losses resulting from the translation of net assets or liabilities denominated in foreign currencies to the U.S. dollar are accumulated in the cumulative translation adjustment component of other comprehensive income in shareholders’ equity.

 

The table below provides information about the Company’s underlying transactions that are sensitive to foreign exchange rate changes, primarily assets and liabilities denominated in currencies other than the functional currency, where the net exposure is greater than $0.5 million at June 30, 2012. The table also presents the U.S. dollar impact on earnings of a 10% appreciation and a 10% depreciation of the functional currency as compared with the transaction currency (in thousands):

 

Functional 
Currency

 

Transaction Currency

 

Net Exposed 
Long (Short) 
Currency 
Position

 

FX Gain (Loss) 
From 10% 
Appreciation of 
Functional 
Currency

 

FX Gain (Loss) 
From 10% 
Depreciation of 
Functional 
Currency

 

 

 

 

 

 

 

 

 

 

 

U.S. dollar

 

Chinese renminbi

 

$

100,464

 

$

(9,133

)

$

11,163

 

Taiwanese dollar

 

U.S. dollar

 

13,264

 

(1,206

)

1,474

 

Euro

 

British pound

 

6,557

 

(596

)

729

 

U.S. dollar

 

Australian dollar

 

5,677

 

(516

)

631

 

Singapore dollar

 

U.S. dollar

 

1,711

 

(156

)

190

 

Euro

 

Russian rouble

 

1,651

 

(150

)

183

 

U.S. dollar

 

Canadian dollar

 

660

 

(60

)

73

 

Euro

 

Romanian leu

 

(849

)

77

 

(94

)

Euro

 

Norwegian krone

 

(965

)

88

 

(107

)

U.S. dollar

 

Swiss franc

 

(1,092

)

99

 

(121

)

Euro

 

Swiss franc

 

(1,249

)

114

 

(139

)

Euro

 

Swedish krona

 

(1,296

)

118

 

(144

)

Japanese yen

 

U.S. dollar

 

(6,020

)

547

 

(669

)

Mexican peso

 

U.S. dollar

 

(8,252

)

750

 

(917

)

 

 

 

 

$

110,261

 

$

(10,024

)

$

12,252

 

 

Long currency positions represent net assets being held in the transaction currency while short currency positions represent net liabilities being held in the transaction currency.

 

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The Company’s principal manufacturing operations are located in China, with much of its component and raw material costs transacted in CNY. However, the functional currency of its Chinese operating subsidiary is the U.S. dollar as its sales and trade receivables are transacted in U.S. dollars. To hedge against any potential significant appreciation of the CNY, the Company maintains a portion of its cash investments in CNY-denominated accounts. At June 30, 2012, net assets held in CNY totaled $100.5 million. The Company continues to evaluate the level of net assets held in CNY relative to component and raw material purchases and interest rates on cash equivalents.

 

The Company enters into foreign exchange forward contracts to hedge against exposure to changes in foreign currency exchange rates related to its subsidiaries’ forecasted inventory purchases. The primary risk managed by using derivative instruments is the foreign currency exchange rate risk. The Company has designated these derivatives as cash flow hedges. Logitech does not use derivative financial instruments for trading or speculative purposes. These hedging contracts generally mature within four months, and are denominated in the same currency as the underlying transactions. Gains and losses in the fair value of the effective portion of the hedges are deferred as a component of accumulated other comprehensive loss until the hedged inventory purchases are sold, at which time the gains or losses are reclassified to cost of goods sold. The Company assesses the effectiveness of the hedges by comparing changes in the spot rate of the currency underlying the forward contract with changes in the spot rate of the currency in which the forecasted transaction will be consummated. If the underlying transaction being hedged fails to occur or if a portion of the hedge does not generate offsetting changes in the foreign currency exposure of forecasted inventory purchases, the Company immediately recognizes the gain or loss on the associated financial instrument in other income (expense). As of June 30, 2012, the notional amounts of foreign exchange forward contracts outstanding related to forecasted inventory purchases were $98.2 million (€78.0 million). Deferred realized gains of $1.6 million are recorded in accumulated other comprehensive loss at June 30, 2012, and are expected to be reclassified to cost of goods sold when the related inventory is sold. Deferred unrealized losses of $0.5 million related to open cash flow hedges are also recorded in accumulated other comprehensive loss as of June 30, 2012 and these forward contracts will be revalued in future periods until the related inventory is sold, at which time the resulting gains or losses will be reclassified to cost of goods sold.

 

The Company also enters into foreign exchange forward contracts to reduce the short-term effects of foreign currency fluctuations on certain foreign currency receivables or payables. These forward contracts generally mature within three months. The Company may also enter into foreign exchange swap contracts to economically extend the terms of its foreign exchange forward contracts. The primary risk managed by using forward and swap contracts is the foreign currency exchange rate risk. The gains or losses on foreign exchange forward contracts are recognized in earnings based on the changes in fair value. Cash flows from these contracts are classified as operating activities in the consolidated statements of cash flows.

 

The notional amounts of foreign exchange forward contracts outstanding at June 30, 2012 relating to foreign currency receivables or payables were $6.4 million. Open forward contracts as of June 30, 2012 consisted of contracts in euros to sell British pounds and contracts in Australian dollars to purchase U.S. dollars at future dates at a predetermined exchange rate. The notional amounts of foreign exchange swap contracts outstanding at June 30, 2012 were $24.7 million. Swap contracts outstanding at June 30, 2012 consisted of contracts in Taiwanese dollars, Mexican pesos and Japanese Yen. Unrealized net losses on the contracts outstanding at June 30, 2012 were $0.4 million.

 

If the U.S. dollar had appreciated by 10% at June 30, 2012 compared with the foreign currencies in which we have forward or swap contracts, an unrealized gain of $9.1 million in our forward foreign exchange contract portfolio would have occurred. If the U.S. dollar had depreciated by 10% compared with the foreign currencies in which we have forward or swap contracts, a $10.9 million unrealized loss in our forward foreign exchange contract portfolio would have occurred.

 

Interest Rates

 

Changes in interest rates could impact the Company’s anticipated interest income on its cash equivalents and investment securities. The Company prepared sensitivity analyses of its interest rate exposures to assess the impact of hypothetical changes in interest rates. Based on the results of these analyses, a 100 basis point decrease or increase in interest rates from the June 30, 2012 period end rates would not have a material effect on the Company’s results of operations or cash flows.

 

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ITEM 4.   CONTROLS AND PROCEDURES

 

Disclosure Controls and Procedures

 

Logitech’s Chief Executive Officer and Chief Financial Officer, after evaluating the effectiveness of our disclosure controls and procedures (as defined in Exchange Act Rule 13a-15(e)) as of the end of the period covered by this Form 10-Q, have concluded that, as of such date, our disclosure controls and procedures are effective.

 

Disclosure controls are controls and procedures designed to ensure that information required to be disclosed in our reports filed under the Exchange Act, such as this Form 10-Q, is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms. Disclosure controls are also designed to ensure that this information is accumulated and communicated to our management, including the Chief Executive Officer and the Chief Financial Officer, to allow timely decisions regarding required disclosure.

 

Changes in Internal Control over Financial Reporting

 

There have been no changes in the Company’s internal control over financial reporting during the fiscal quarter ended June 30, 2012, that have materially affected, or are reasonably likely to materially affect, the Company’s internal control over financial reporting.

 

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PART II — OTHER INFORMATION

 

ITEM 1.   LEGAL PROCEEDINGS

 

On May 23, 2011, a class action complaint was filed against Logitech International S.A. and certain of its officers in the United States District Court for the Southern District of New York on behalf of individuals who purchased Logitech shares between October 28, 2010 and April 1, 2011. The complaint relates to Logitech’s disclosure on March 31, 2011 that its results for fiscal year 2011 would fall below expectations and seeks unspecified monetary damages and other relief against the defendants. The action was transferred to the United States District Court for the Northern District of California on July 28, 2011. The California Court appointed a lead plaintiff on October 27, 2011. The plaintiff filed an amended complaint on January 9, 2012 which expanded the alleged class period to between October 28, 2010 and September 22, 2011. On July 13, 2012, the California Court granted defendants’ motion to dismiss the amended complaint, with leave to amend.

 

On July 15, 2011, a complaint was filed against Logitech International S.A. and two of its subsidiaries in the United States District Court for the Central District of California by Universal Electronics, Inc. (UEI). On November 3, 2011, the Company filed a counter suit against UEI. On July 18, 2012, Logitech and UEI signed a nonbinding settlement and license agreement term sheet, and the District Court thereafter dismissed the suits without prejudice to the right, upon good cause shown within 60 days, to reopen the action if a settlement is not consummated.

 

In addition, from time to time we become involved in claims and legal proceedings which arise in the ordinary course of our business. We are currently subject to several such claims and a small number of legal proceedings.

 

We believe these lawsuits and claims lack merit and intend to vigorously defend against them. However, there can be no assurances that our defenses will be successful, or that any judgment or settlement in any of these lawsuits would not have a material adverse impact on our business, financial condition, cash flows and results of operations. We are presently unable to estimate the effects of these claims and legal proceedings on our results of operations, cash flows or financial position.

 

ITEM 1A.   RISK FACTORS

 

Our operating results are difficult to predict and fluctuations in results may cause volatility in the price of our shares.

 

Our revenues and profitability are difficult to predict due to the nature of the markets in which we compete, fluctuating end-user demand, the uncertainty of current and future global economic conditions, and for many other reasons, including the following:

 

·                  Our operating results are highly dependent on the volume and timing of orders received during the quarter, which are difficult to forecast. Customers generally order on an as-needed basis and we typically do not obtain firm, long-term purchase commitments from our customers. As a result, our revenues in any quarter depend primarily on orders booked and shipped in that quarter.

 

·                  A significant portion of our quarterly retail sales typically occurs in the last weeks of each quarter, further increasing the difficulty in predicting quarterly revenues and profitability.

 

·                  Our sales are impacted by end-user consumer demand and current and future global economic conditions, and can therefore fluctuate abruptly and significantly during periods of uncertain economic conditions or geographic distress, as well as from shifts in consumer buying patterns.

 

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·                  We must incur a large portion of our costs in advance of sales orders, because we must plan research and production, order components, buy tooling equipment, and enter into development, sales and marketing, and other operating commitments prior to obtaining firm commitments from our customers. This makes it difficult for us to rapidly adjust our costs during the quarter in response to a revenue shortfall, which could adversely affect our operating results.

 

·                  We may not fully or timely realize the anticipated benefits from the restructuring plan we announced in April 2012. The restructuring plan is intended to simplify the organization, to reduce operating costs through a global workforce reduction and a reduction in the complexity of our product portfolio, and to better align costs with our current business.

 

·                  Fluctuations in currency exchange rates can impact our revenues, expenses and profitability because we report our financial statements in U.S. dollars, whereas a significant portion of our revenues and expenses are in other currencies. We attempt to adjust product prices over time to offset the impact of currency movements. However, over short periods of time and during periods of weakness in consumer spending, our ability to increase local currency selling prices to offset the impact of currency fluctuations is limited.

 

Because our operating results are difficult to predict, our results may be below the expectations of financial analysts and investors, which could cause the price of our shares to decline.

 

If we fail to innovate and develop new products in a timely and cost-effective manner for our new and existing product categories, our business and operating results could be adversely affected.

 

The personal peripherals industry is characterized by short product life cycles, frequent new product introductions, rapidly changing technology, dynamic consumer demand and evolving industry standards. As a result, we must continually innovate in our new and existing product categories, introduce new products and technologies, and enhance existing products in order to remain competitive.

 

The success of our product portfolio depends on several factors, including our ability to:

 

·                  identify new features, functionality and opportunities;

 

·                  anticipate technology, market trends and consumer preferences;

 

·                  develop innovative, high-quality, and reliable new products and enhancements in a cost-effective and timely manner;

 

·                  distinguish our products from those of our competitors; and

 

·                  offer our products at prices and on terms that are attractive to our customers and consumers.

 

If we do not execute on these factors successfully, products that we introduce or technologies or standards that we adopt may not gain widespread commercial acceptance, and our business and operating results could suffer. In addition, if we do not continue to differentiate our products through distinctive, technologically advanced features, designs, and services that are appealing to our customers and consumers, as well as continue to build and strengthen our brand recognition and our access to distribution channels, our business could be adversely affected.

 

The development of new products and services is very difficult and requires high levels of innovation. The development process is also lengthy and costly. There are significant initial expenditures for research and development, tooling, manufacturing processes, inventory and marketing, and we may not be able to recover those investments. If we fail to accurately anticipate technological trends or our end-users’ needs or preferences, are unable to complete the development of products and services in a cost-

 

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effective and timely fashion or are unable to appropriately increase production to fulfill customer demand, we will be unable to successfully introduce new products and services into the market or compete with other providers. Even if we complete the development of our new products and services in a cost-effective and timely manner, they may be not competitive with products developed by others, they may not achieve acceptance in the market at anticipated levels or at all, they may not be profitable or, even if they are profitable, they may not achieve margins as high as our expectations or as high as the margins we have achieved historically.

 

As we introduce new or enhanced products, integrate new technology into new or existing products, or reduce the overall number of products offered, we face risks including, among other things, disruption in customers’ ordering patterns, excessive levels of existing product inventories, revenue deterioration in our existing product lines, insufficient supplies of new products to meet customers’ demand, possible product and technology defects, and a potentially different sales and support environment. Premature announcements or leaks of new products, features or technologies may exacerbate some of these risks by reducing the effectiveness of our product launches, reducing sales volumes of current products due to anticipated future products, making it more difficult to compete, shortening the period of differentiation based on our product innovation, straining relationships with our partners or increasing market expectations for the results of our new products before we have had an opportunity to demonstrate the market viability of the products. Our failure to manage the transition to new products or the integration of new technology into new or existing products could adversely affect our business, results of operations, operating cash flows and financial condition.

 

We believe sales of our PC (personal computer) peripherals in our mature markets may decline, and that our future growth will depend on our new product categories and sales in emerging market geographies, and if we do not successfully execute on our growth opportunities, or if our sales of PC peripherals in mature markets are less than we expect, our operating results could be adversely affected.

 

We have historically targeted peripherals for the PC platform. Consumer demand for PCs is decelerating in our traditional, mature markets such as North America, Western and Nordic Europe, Japan and Australia, and we believe consumer demand for PCs and peripherals in mature markets is slowing and potentially may decline in future years. In fiscal year 2012, we experienced weak consumer demand for our remotes and PC webcams in our Americas and EMEA regions, which adversely affected our financial performance. In our OEM channel, the decline of desktop PCs has adversely impacted our sales of OEM mice, which have historically made up the bulk of our OEM sales. Our OEM sales accounted for 8% and 9% of total revenues in the fiscal years ended March 31, 2012 and 2011 and 8% in the three months ended June 30, 2012.

 

In addition, our sales in our mature markets in North America, Western and Nordic Europe, Japan and Australia might be less than we expect due to a decline in business or economic conditions in one or more of the countries or regions, a greater decline than we expect in demand for our products, our inability to successfully execute our sales and marketing plans, or for other reasons. Global economic concerns, such as the varying pace of global economic recovery and the impact of sovereign debt issues in Europe, create unpredictability and add risk to our future outlook.

 

As a result, we are focusing more of our personnel, financial resources, and management attention on product innovations and growth opportunities in emerging markets, on products for tablets and mobile devices, on products for the consumption of digital music, on sales to enterprise markets, on our LifeSize division, and other potential growth opportunities. Our investments may not result in the growth we expect, or when we expect it, for a variety of reasons including those described below.

 

Emerging Markets. We believe that the world’s emerging markets, such as China, India, Russia and Brazil, will, for the next several years, be the high growth markets for PCs and for our peripherals product lines. We have allocated significant resources to our sales, marketing and administrative personnel in China and, to a lesser extent, other emerging markets. We anticipate that emerging markets will include potentially high growth opportunities, offset by potentially entrenched local competition, higher credit risks, and other factors that affect consumer trends in ways which may be substantially different from our

 

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current major markets. PCs may not continue to be a growth category in emerging markets, and consumers in emerging markets may prefer tablets, smartphones, other mobile devices or other technologies. If we do not develop innovative and reliable peripherals and enhancements in a cost-effective and timely manner which are attractive to consumers in these markets, if consumer demand for PCs and our peripherals in emerging markets does not increase as much as we expect, or if we invest resources in products or geographic areas which do not produce the growth or profitability we expect, or when we expect it, our business and results of operations could be adversely affected.

 

Tablets, Smartphones and Other Mobile Devices. The increasing popularity of smaller, mobile computing devices such as tablets and smartphones with touch interfaces is rapidly changing the consumer PC market. In our retail channels, tablets and smartphones are sold by retailers without peripherals. We believe this creates opportunities to sell products to consumers to help make their devices more productive and comfortable. However, consumer acceptance and demand for peripherals for use with tablets and other mobile computing devices is still uncertain. The increasing popularity of tablets and smartphones might decrease consumer demand for our PC peripherals, which would adversely affect our sales of these products. If we do not successfully innovate and market products designed for tablets and smartphones, if our distributor or retailer customers do not choose to carry or market such peripherals, or if general consumer demand for peripherals for use with these devices does not increase, our business and results of operations could be adversely affected.

 

Digital Music. We have recently increased our focus on products for the consumption of digital music as a future sales growth area. We are increasing our product development and marketing investment in digital music. However, historically our audio product development and marketing efforts have focused primarily on products for the PC platform and on sound quality. Our past experience is not necessarily transferable to the consumption of music through mobile devices such as tablets and smartphones, where we believe consumers put a greater emphasis on features such as convenience and brand. In addition, competition in the digital music consumption category is intense, and we expect it to increase. If we are not able to identify product development and marketing skill gaps, resolve them, and introduce differentiated product and marketing strategies to separate ourselves from competitors, our digital music efforts will not be successful, and our business and results of operations could be adversely affected.

 

Enterprise Market.  Direct sales to the enterprise market is a relatively new sales channel for us. While we have been able to leverage our indirect distribution channels to sell to the enterprise market, we may not be successful in expanding enterprise sales. Some of our competitors have longer and closer relationships with the senior management of enterprise customers who decide which products and technologies will be deployed in their enterprises. Some competitors have larger and more established sales forces calling on enterprise customers, as well as greater marketing resources, and therefore could contact a greater number of potential customers with more frequency and influence their buying decisions. Consequently, these competitors may have a better competitive position than we do, which could adversely affect our ability grow our revenues through the enterprise sales channel.

 

LifeSize. Competition in the video conferencing industry is intense, with large, well-financed competitors, and we expect the number of competitors and the intensity of competition to increase. Although we have maintained the LifeSize enterprise sales organization, Logitech has little experience with selling to enterprise accounts, or in marketing to large enterprises. Additionally, as customers complete video conferencing installations, they may require greater levels of service and support than we have provided in the past. Demand for these types of services and support may increase in the future. There can be no assurance that we can provide products, services and support to effectively compete for these market opportunities. Further, our providing greater levels of services and support may result in a delay in the timing of revenue recognition. We anticipate that the growth of our LifeSize division will require continuing investments in product development and sales and marketing to stimulate and support future growth. If our future investments do not produce the growth that we anticipate, or when we anticipate it, our business and results of operations could be adversely affected.

 

As we expand into new markets and product categories, we must comply with a wide variety of laws, standards and other requirements governing, among other things, health and safety, hazardous

 

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materials usage, product-related energy consumption, packaging, recycling and environmental matters. Our products may be required to obtain regulatory approvals and satisfy other regulatory concerns in the various jurisdictions where they are manufactured, sold or both. These requirements create procurement and design challenges, which, among other things, require us to incur additional costs identifying suppliers and contract manufacturers who can provide or obtain compliant materials, parts and end products. Failure to comply with such requirements can subject us to liability, additional costs, and reputational harm and, in severe cases, force us to recall products or prevent us from selling our products in certain jurisdictions.

 

If we do not compete effectively, demand for our products could decline and our business and operating results could be adversely affected.

 

The peripherals and video conferencing industries are intensely competitive.

 

The peripherals industry is characterized by short product life cycles, continual performance enhancements, and rapid adoption of technological and product advancements by competitors in our retail markets, and price sensitivity in the OEM market. We experience aggressive price competition and other promotional activities from our primary competitors and from less-established brands, including brands owned by retail customers known as house brands, in both the retail and OEM markets. In addition, our competitors may offer customers terms and conditions which may be more favorable than our terms and conditions and may require us to take actions to increase our customer incentive programs, which could impact our revenues and operating margins.

 

The video conferencing industry is characterized by continual performance enhancements and large, well-financed competitors. There is increased participation in the video conferencing market by companies such as Cisco Systems, Inc. and Polycom, Inc., and as a result, we expect competition in the industry to further intensify. In addition, there are an increasing number of PC-based multi-person video conferencing applications, such as those offered by Skype, which could compete at the lower end of the video conferencing market with our LifeSize products and services.

 

In recent years, we have expanded the categories of products we sell, and entered new markets. We remain alert to opportunities in new categories and markets. As we do so, we are confronting new competitors, many of which have more experience in the categories or markets and have greater marketing resources and brand name recognition than we have. In addition, because of the continuing convergence of the markets for computing devices and consumer electronics, we expect greater competition in the future from well-established consumer electronics companies in our developing categories as well as in future categories we might enter. Many of these companies, such as Microsoft Corporation, Cisco, Sony Corporation, Polycom and others, have greater financial, technical, sales, marketing and other resources than we have.

 

Microsoft is a leading producer of operating systems and applications with which our mice, keyboards and webcams are designed to operate. In addition, Microsoft has significantly greater financial, technical, sales, marketing and other resources than Logitech, as well as greater name recognition and a larger customer base. As a result, Microsoft may be able to improve the functionality of its own peripherals to correspond with ongoing enhancements to its operating systems and software applications before we are able to make such improvements. This ability could provide Microsoft with significant lead-time advantages. In addition, Microsoft may be able to offer pricing advantages on bundled hardware and software products that we may not be able to offer, and may be financially positioned to exert significant downward pressure on product prices and upward pressure on promotional incentives in order to gain market share.

 

Consumer Computing Platforms (Pointing Devices, Keyboards and Desktops). Microsoft is our main competitor in the mice, keyboard and desktop product lines. We also experience competition and pricing pressure for corded and cordless mice and desktops from less-established brands, including house brands, which we believe have impacted our market share in some sales geographies and which could potentially further impact our market share.

 

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Audio. Competitors in audio devices vary by product line. In the PC, mobile entertainment and communication platform speaker business, competitors include Plantronics, Inc., Altec Lansing LLC., Creative Labs, Inc. and Bose Corporation. In the PC headset and microphone business, our main competitors include Plantronics and Altec Lansing. We have increased our focus, as well as our product development and marketing investment, on products for the consumption of digital music as a future sales growth area. Our competitors for products such as earbuds, earphones and mobile speakers include brands such as Skull Candy, Beats by Dre, and Jawbone, each of which have higher consumer recognition and retailer shelf space in digital music than we do. Our Squeezebox Wi-Fi music players for digital music compete with systems from several small competitors as well as larger established consumer electronics companies, like Sony and Royal Philips Electronics.

 

Video. Our competitors for PC Web cameras include Microsoft, Creative Labs, Philips, and Hewlett-Packard Company. The market for PC Web cameras has been declining, particularly in our traditional, mature, consumer-developed markets, as the embedded webcam experience appears to be sufficient to meet the needs of many of these customers. As the worldwide market for PC Web cameras has become more competitive, we are encountering increasingly aggressive pricing practices and promotions on a worldwide basis. These factors have adversely affected our revenues and margins in this category.

 

Gaming. Competitors for our interactive entertainment products include CSG International (formerly Intec), Razer USA Ltd., Performance Designed Products, LLC (Pelican Accessories), Mad Catz Interactive, Inc. and its Saitek brand. Our controllers for PlayStation also compete against controllers offered by Sony.

 

Digital Home. Our competitors for remotes include, among others, Philips, Universal Remote Control, Inc., Universal Electronics Inc., RCA and Sony. We expect that the growth in consumer demand for peripheral devices for home entertainment systems will likely result in increased competition.

 

Video Conferencing.  We primarily compete in the medium and small business, education, and state and local business sectors of the enterprise video conferencing market. Our primary competitors are Cisco, Polycom and Avaya Inc. There are also a number of smaller competitors that compete with LifeSize. Some of these companies have longer industry experience or substantially greater financial, sales, marketing and engineering resources than we do. Avaya recently acquired Radvision Ltd. and has become a competitor, though it has also been a distributor and OEM partner for LifeSize. In addition, Microsoft’s acquisition of Skype has given Microsoft a large user base for future competitive video chat and video-conferencing products, along with integration potential across Microsoft’s product portfolio. Microsoft is also a partner for LifeSize. In addition, technology changes are affecting the competitive landscape in this market, and may require interoperability or compatibility with unified communication platforms, Microsoft Lync or other technologies. The developers of those technologies may have an advantage in improving the functionality of their own video conferencing equipment to correspond with these technologies before we can make such improvements, or may restrict the interoperability of their products with ours. In the large enterprise sector of the market, which is dominated by Cisco, interoperability with equipment produced by Cisco and other telecommunications, video conferencing or telepresence equipment suppliers is a key factor in purchasing decisions by current or prospective customers. These factors could adversely affect the sales and growth opportunities of our LifeSize division, and the growth of Logitech as a whole. Moreover, if LifeSize sales declined substantially, the goodwill associated with the acquisition of the division might be determined to be impaired, resulting in a non-cash impairment charge, which would reduce operating results.

 

If we do not compete effectively, demand for our products could decline, our gross margin could decrease, we could lose market share and our revenues could decline.

 

If we do not accurately forecast market demand for our products, our business and operating results could be adversely affected.

 

We use our forecasts of product demand to make decisions regarding investments of our resources and production levels of our products. Although we receive forecasts from our customers, many are not obligated to purchase the forecasted demand. Also, actual sales volumes for individual products in our

 

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retail distribution channel can be volatile due to changes in consumer preferences and other reasons. In addition, our retail products have short product life cycles, so a failure to accurately predict high demand for a product can result in lost sales that we may not recover in subsequent periods, or higher product costs if we meet demand by paying higher costs for materials, production and delivery. We could also frustrate our customers and lose shelf space. Our failure to predict low demand for a product can result in excess inventory, lower cash flows and lower margins if we are required to reduce product prices in order to reduce inventories.

 

Over the past few years, we have expanded the types of products we sell, and the geographic markets in which we sell them. The changes in our product portfolio and the expansion of our sales markets have increased the difficulty of accurately forecasting product demand.

 

We have experienced large differences between our forecasts and actual demand for our products. We expect other differences between forecasts and actual demand to arise in the future. If we do not accurately predict product demand, our business and operating results could be adversely affected.

 

Our gross margins can vary significantly depending on multiple factors, which can result in unanticipated fluctuations in our operating results.

 

Our gross margins can vary due to consumer demand, competition, product life cycle, new product introductions, unit volumes, commodity and supply chain costs, geographic sales mix, foreign currency exchange rates, and the complexity and functionality of new product innovations. In particular, if we are not able to introduce new products in a timely manner at the product cost we expect, or if consumer demand for our products is less than we anticipate, or if there are product pricing, marketing and other initiatives by our competitors to which we need to react that lower our margins, then our overall gross margin will be less than we project.

 

In addition, our gross margins may vary significantly by product line, sales geography and customer type, as well as within product lines. When the mix of products sold shifts from higher margin product lines to lower margin product lines, to lower margin sales geographies, or to lower margin products within product lines, our overall gross margins and our profitability may be adversely affected.

 

The impact of these factors on gross margins can create unanticipated fluctuations in our operating results, which may cause volatility in the price of our shares.

 

We may not fully realize the anticipated benefits from the restructuring plan we announced in April, 2012.

 

We announced a restructuring plan in April 2012, which is intended to simplify the organization, to reduce operating costs through a global workforce reduction and a reduction in the complexity of our product portfolio, and to better align costs with our current business.

 

Our ability to achieve the anticipated cost savings and other benefits from this restructuring within the expected timeframe are subject to many estimates and assumptions, and the actual savings and timing for those savings may vary materially based on factors such as local labor regulations, negotiations with third parties, and operational requirements. These estimates and assumptions are subject to significant economic, competitive and other uncertainties, some of which are beyond our control. There can be no assurance that we will fully realize the anticipated benefits from this restructuring plan. To the extent that we are unable to improve our financial performance, further restructuring measures may be required in the future.

 

We have conducted intensive reviews of our product portfolio, and have concluded that our product strategy has resulted in an assortment of similar products at similar price points within each product category, which we believe has generated confusion for the consumer. In order to improve our product portfolio, we have reprioritized our fiscal year 2013 new product portfolio. While we are constantly replacing products and dependent on the success of our new products, the current product line

 

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simplification effort is substantial, making us even more dependent on the success of the new products that we are introducing.

 

As we transition to the new product portfolio, we must continue to carefully manage production, monitor channel inventory levels, and judiciously implement incentives for both existing and new products. If we are unable to implement the planned initiatives effectively, if our estimates and assumptions regarding sales of existing and new products are incorrect, if we do not manage the product transitions smoothly and cost-effectively, if we experience delays or if other unforeseen events occur, we may not achieve the sales and cost savings expected in fiscal year 2013 and beyond, and our business and results of operations could be adversely affected.

 

Our success largely depends on our ability to hire, retain, integrate and motivate sufficient numbers of qualified personnel, including senior management. Our strategy and our ability to innovate, design and produce new products, sell products, maintain operating margins and control expenses depend on key personnel that may be difficult to replace.

 

Our success depends on our ability to attract and retain highly skilled personnel, including senior management and international personnel. From time to time, we experience turnover in some of our senior management positions.

 

We compensate our employees through a combination of salary, bonuses, benefits and equity compensation. Recruiting and retaining skilled personnel, including software and hardware engineers, is highly competitive. If we fail to provide competitive compensation to our employees, it will be difficult to retain, hire and integrate qualified employees and contractors, and we may not be able to maintain and expand our business. If we do not retain our senior managers or other key employees for any reason, we risk losing institutional knowledge, experience, expertise and other benefits of continuity as well as the ability to attract and retain other key employees. In addition, we must carefully balance the growth of our employee base with our current infrastructure, management resources and anticipated operating cash flows. If we are unable to manage the growth of our employee base, particularly engineers, we may fail to develop and introduce new products successfully and in a cost-effective and timely manner. If our revenue growth or employee levels vary significantly, our operating cash flows and financial condition could be adversely affected. Volatility or lack of positive performance in our stock price, including declines in our stock prices in the past year, may also affect our ability to retain key employees, many of whom have been granted equity incentives. Logitech’s practice has been to provide equity incentives to its employees, but the number of shares available for equity grants is limited. We may find it difficult to provide competitive equity incentives, and our ability to hire, retain and motivate key personnel may suffer.

 

Recently and in past years, we have initiated reductions in our workforce to align our employee base with our anticipated revenue base or with our areas of focus. We have also experienced turnover in our workforce. These reductions and turnover have resulted in reallocations of duties, which could result in employee uncertainty and discontent. Reductions in our workforce could make it difficult to attract, motivate and retain employees, which could adversely affect our business.

 

Our business depends in part on access to third-party platforms or technologies, and if the access is withdrawn, denied, or is not available on terms acceptable to us, or if the platforms or technologies change without notice to us, our business and operating results could be adversely affected.

 

Our peripherals business has historically been built largely around the PC platform, which over time became relatively open, and its inputs and operating system standardized. With the growth of mobile, tablet, gaming and other computer devices, the number of platforms has grown, and with it the complexity and increased need for us to have business and contractual relationships with the platform owners in order to produce products compatible with these platforms. Our product portfolio includes current and future products designed for use with third-party platforms or software, such as the Apple iPad, iPod and iPhone, Android phones and tablets, Sony PlayStation, and Nintendo Wii. Our business in these categories relies on our access to the platforms of third parties, some of whom are our competitors. Our access to these third-party platforms can be withdrawn, denied or not be available on terms acceptable to us. Moreover, as we

 

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expand the number of platforms and software applications with which our products are compatible, we may not be successful in launching products for those platforms or software applications, we may not be successful in establishing strong relationships with the new platform or software owners, or we may negatively impact our ability to develop and produce high-quality products on a timely basis for those platforms and software applications or we may otherwise adversely affect our relationships with existing platform or software owners.

 

Our access to third-party platforms may require paying a royalty, which lowers our product margins, or may otherwise be on terms that are not acceptable to us. In addition, the third-party platforms or technologies used to interact with our product portfolio can be delayed in production or can change without prior notice to us, which can result in our having excess inventory or lower margins.

 

If we are unable to access third-party platforms or technologies, or if our access is withdrawn, denied, or is not available on terms acceptable to us, or if the platforms or technologies are delayed or change without notice to us, our business and operating results could be adversely affected.

 

We rely on third parties to sell and distribute our products, and we rely on their information to manage our business. Disruption of our relationship with these channel partners, changes in their business practices, their failure to provide timely and accurate information or conflicts among our channels of distribution could adversely affect our business, results of operations, operating cash flows and financial condition.

 

Our sales channel partners, the distributors and retailers who distribute and sell our products, also sell products offered by our competitors and, in the case of retailer house brands, may also be our competitors. If product competitors offer our sales channel partners more favorable terms, have more products available to meet their needs, or utilize the leverage of broader product lines sold through the channel, or if our retailer channel partners show preference for their own house brands, our sales channel partners may de-emphasize or decline to carry our products. In addition, certain of our sales channel partners could decide to de-emphasize the product categories that we offer in exchange for other product categories that they believe provide them with higher returns. If we are unable to maintain successful relationships with these sales channel partners or to maintain our distribution channels, our business will suffer.

 

The impact of economic conditions, evolving consumer preferences, and purchasing patterns on our distribution partners, or competition between our sales channels, could result in sales channel disruption. For example, if sales at large retail stores are displaced as a result of bankruptcy, competition from internet sales channels or otherwise, our product sales could be adversely affected. Any loss of a major partner or distribution channel or other channel disruption could make us more dependent on alternate channels, increase pricing and promotional pressures from other partners and distribution channels, increase our marketing costs, or adversely impact buying and inventory patterns, payment terms or other contractual terms.

 

We use retail sell-through data, which represents sales of our products by our retailer customers to consumers, and by our distributor customers to their customers, along with other metrics, to assess consumer demand for our products. Sell-through data is subject to limitations due to collection methods and the third party nature of the data and thus may not be an accurate indicator of actual consumer demand for our products. In addition, the customers supplying sell-through data vary by geographic region and from period to period, but typically represent a majority of our retail sales. If we do not receive this information on a timely and accurate basis, or if we do not properly interpret this information, our results of operations and financial condition may be adversely affected.

 

Our principal manufacturing operations and third-party contract manufacturers are located in China and Southeast Asia, which exposes us to risks associated with doing business in that geographic area.

 

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We produce a significant portion of our products at facilities we own in China. The majority of our other production is performed by third-party contract manufacturers in China. We also utilize third-party contract manufacturers in Malaysia and India.

 

Our manufacturing operations in China could be adversely affected by changes in the interpretation and enforcement of legal standards, by strains on China’s available labor pool, communications, trade, and other infrastructures, by natural disasters, by conflicts or disagreements between China and Taiwan or China and the United States, by labor unrest, and by other trade customs and practices that are dissimilar to those in the United States and Europe. Interpretation and enforcement of China’s laws and regulations continue to evolve and we expect differences in interpretation and enforcement to continue in the foreseeable future.

 

Our manufacturing operations at third-party contractors could be adversely affected by contractual disagreements, by labor unrest, by natural disasters, by strains on local communications, trade, and other infrastructures, by competition for the available labor pool or manufacturing capacity, and by other trade customs and practices that are dissimilar to those in the United States and Europe.

 

Further, we may be exposed to fluctuations in the value of the local currency in the countries in which manufacturing occurs. Future appreciation of these local currencies could increase our component and other raw material costs. In addition, our labor costs could continue to rise as wage rates increase and the available labor pool declines. These conditions could adversely affect our gross margins and financial results.

 

We purchase key components and products from a limited number of sources, and our business and operating results could be adversely affected if supply were delayed or constrained or if there were shortages of required components.

 

We purchase certain products and key components from a limited number of sources. If the supply of these products or key components, such as micro-controllers, optical sensors and LifeSize hardware products, were to be delayed or constrained, or if one or more of our single-source suppliers goes out of business as a result of adverse global economic conditions or natural disasters, we might be unable to find a new supplier on acceptable terms, or at all, and our product shipments to our customers could be delayed, which could adversely affect our business, financial condition and operating results.

 

Lead times for materials, components and products ordered by us or by our contract manufacturers can vary significantly and depend on factors such as contract terms, demand for a component, and supplier capacity. From time to time, we have experienced component shortages and extended lead times on semiconductors, such as micro-controllers and optical sensors, and base metals used in our products. Shortages or interruptions in the supply of components or subcontracted products, or our inability to procure these components or products from alternate sources at acceptable prices in a timely manner, could delay shipment of our products or increase our production costs, which could adversely affect our business and operating results.

 

If we do not successfully coordinate the worldwide manufacturing and distribution of our products, we could lose sales.

 

Our business requires us to coordinate the manufacture and distribution of our products over much of the world. We rely on third parties to manufacture many of our products, manage centralized distribution centers, and transport our products. If we do not successfully coordinate the timely manufacturing and distribution of our products, we may have insufficient supply of products to meet customer demand and we could lose sales, or we may experience a build-up in inventory.

 

A significant portion of our quarterly retail orders and product deliveries generally occur in the last weeks of the fiscal quarter. This places pressure on our supply chain and could adversely affect our revenues and profitability if we are unable to successfully fulfill customer orders in the quarter.

 

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We conduct operations in a number of countries, and have invested significantly in growing our sales and marketing activities in China, and the effect of business, legal and political risks associated with international operations could adversely affect us.

 

We conduct operations in a number of countries, and have invested significantly in growing our sales and marketing activities in China. We may also increase our investments to grow sales in other emerging markets, such as Latin America and Eastern Europe. There are risks inherent in doing business in international markets, including:

 

·                  difficulties in staffing and managing international operations;

 

·                  compliance with laws and regulations, including environmental and tax laws, which vary from country to country and over time, increasing the costs of compliance and potential risks of non-compliance;

 

·                  exposure to political and financial instability, especially with the uncertainty associated with the ongoing sovereign debt crisis in certain Euro zone countries, which may lead to currency exchange losses and collection difficulties or other losses;

 

·                  exposure to fluctuations in the value of local currencies;

 

·                  difficulties and increased costs in establishing sales and distribution channels in unfamiliar markets, with their own market characteristics and competition;

 

·                  changes in VAT (value-added tax) or VAT reimbursement;

 

·                  imposition of currency exchange controls; and

 

·                  delays from customs brokers or government agencies.

 

Any of these risks could adversely affect our business, financial condition and operating results.

 

Our sales in China have increased substantially in the last two fiscal years, and continued sales growth in China is an important part of our expectations for our business. As a result, if Chinese economic, political or business conditions deteriorate, or if one or more of the risks described above materializes in China, our overall business and results of operations will be adversely affected.

 

We may be unable to protect our proprietary rights. Unauthorized use of our technology may result in the development of products that compete with our products.

 

Our future success depends in part on our proprietary technology, technical know-how and other intellectual property. We rely on a combination of patent, trade secret, copyright, trademark and other intellectual property laws, and confidentiality procedures and contractual provisions such as nondisclosure terms and licenses, to protect our intellectual property.

 

We hold various United States patents and pending applications, together with corresponding patents and pending applications from other countries. It is possible that any patent owned by us will be invalidated, deemed unenforceable, circumvented or challenged, that the patent rights granted will not provide competitive advantages to us, or that any of our pending or future patent applications will not be granted. In addition, other intellectual property laws or our confidentiality procedures and contractual provisions may not adequately protect our intellectual property. Also, others may independently develop similar technology, duplicate our products, or design around our patents or other intellectual property rights. Unauthorized parties have copied and may in the future attempt to copy aspects of our products or to obtain and use information that we regard as proprietary. Any of these events could adversely affect our business, financial condition and operating results.

 

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Claims by others that we infringe their proprietary technology could adversely affect our business.

 

We have been expanding the categories of products we sell, and entering new markets, such as the market for enterprise video conferencing and our introduction of products for tablets and mobile devices. We expect to continue to enter new categories and markets. As we do so, we face an increased risk that claims alleging we infringe the patent or other intellectual property rights of others, regardless of the merit of the claims, may increase in number and significance. Infringement claims against us may also increase as the functionality of video, voice, data and conferencing products begin to overlap. This risk is heightened by the increase in lawsuits brought by holders of patents that do not have an operating business. Intellectual property lawsuits are subject to inherent uncertainties due to the complexity of the technical issues involved, and we cannot be certain that we will be successful in defending ourselves against intellectual property claims. A successful claimant could secure a judgment that requires us to pay substantial damages or prevents us from distributing certain products or performing certain services. We might also be required to seek a license for the use of such intellectual property, which may not be available on commercially acceptable terms or at all. Alternatively, we may be required to develop non-infringing technology, which could require significant effort and expense and may ultimately not be successful. Any claims or proceedings against us, whether meritorious or not, could be time consuming, result in costly litigation or the diversion of significant operational resources, or require us to enter into royalty or licensing agreements, any of which could materially and adversely affect our business and results of operations.

 

Product quality issues could adversely affect our reputation and could impact our operating results.

 

The market for our products is characterized by rapidly changing technology and evolving industry standards. To remain competitive, we must continually introduce new products and technologies. The products that we sell could contain defects in design or manufacture. Defects could also occur in the products or components that are supplied to us. There can be no assurance we will be able to detect and remedy all defects in the hardware and software we sell. Failure to do so could result in product recalls, product redesign efforts, lost revenue, loss of reputation, and significant warranty and other expenses to remedy.

 

The collection, storage, transmission, use and distribution of user data could give rise to liabilities and additional costs of operation as a result of laws and governmental regulation.

 

In connection with certain of our products, we collect data related to our consumers. This information is increasingly subject to legislation and regulations in numerous jurisdictions around the world, and especially in Europe. Government actions are typically intended to protect the privacy and security of personal information and its collection, storage, transmission, use and distribution in or from the governing jurisdiction. In addition, because various jurisdictions have different laws and regulations concerning the use, storage and transmission of such information, we may face requirements that pose compliance challenges in existing markets as well as new international markets that we seek to enter. Such laws and regulations, and the variation between jurisdictions, could subject us to costs, liabilities or negative publicity that could adversely affect our business.

 

Our effective income tax rates may increase in the future, which could adversely affect our net income.

 

We operate in multiple jurisdictions and our profits are taxed pursuant to the tax laws of these jurisdictions. Our effective income tax rate may be affected by changes in or interpretations of tax laws in any given jurisdiction, utilization of net operating loss and tax credit carryforwards, changes in geographical allocation of income and expense, and changes in management’s assessment of matters such as the realizability of deferred tax assets. In the past, we have experienced fluctuations in our effective income tax rate. Our effective income tax rate in a given fiscal year reflects a variety of factors that may not be present in the succeeding fiscal year or years. There is no assurance that our effective income tax rate will not change in future periods.

 

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The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulting from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results. In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. A material assessment by a governing tax authority could adversely affect our profitability. If our effective income tax rate increases in future periods, our net income could be adversely affected.

 

ITEM 2.   UNREGISTERED SALES OF EQUITY SECURITIES AND USE OF PROCEEDS

 

Share Repurchases

 

The following table presents certain information related to purchases made by Logitech of its equity securities  during the three months ended June 30, 2012 (in thousands, except per share amounts):

 

 

 

 

 

 

 

 

 

Approximate

 

 

 

Total Number of

 

 

 

 

 

Dollar Value of

 

 

 

Shares Purchased

 

 

 

 

 

Shares That May

 

 

 

as Part of Publicly

 

 

 

 

 

Yet Be Purchased

 

 

 

Announced

 

Average Price Paid Per Share

 

Under the

 

Period

 

Program

 

in USD

 

in CHF

 

Program

 

 

 

 

 

 

 

 

 

 

 

April 2012

 

800

 

9.90

 

8.99

 

$

86,332

 

May 2012

 

7,425

 

10.52

 

9.73

 

8,245

 

June 2012

 

375

 

10.16

 

9.73

 

4,435

 

 

 

 

 

 

 

 

 

 

 

Total

 

8,600

 

 

 

 

 

 

 

 

During the three months ended June 30, 2012, the following approved share buyback program was in place (in thousands):

 

Date of Announcement

 

Approved 
Share 
Buyback 
Number

 

Approved 
Buyback 
Amount

 

Expiration Date

 

Completion Date

 

Number of 
Shares 
Remaining (1)

 

Amount 
Remaining

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

28,465

 

$

177,030

 

August 2013

 

 

414

 

$

4,435

 

September 2008

 

8,344

 

$

250,000

 

August 2013

 

 

 

 

 


(1)__ Represents an estimate of the number of shares remaining to be repurchased, calculated based on the $4.4 million amount remaining to repurchase as of June 30, 2012 divided by the CHF 10.22 per share adjusted closing price on the SIX Swiss Exchange as of the same date, translated at the exchange rate on June 30, 2012.

 

ITEM 3.   DEFAULTS UPON SENIOR SECURITIES

 

None.

 

ITEM 4.   MINE SAFETY DISCLOSURES

 

Not applicable.

 

ITEM 5.   OTHER INFORMATION

 

None.

 

68



Table of Contents

 

ITEM 6.   EXHIBITS

 

Exhibit Index

 

Exhibit No.

 

Description

 

 

 

31.1

 

Rule 13a-14(a)/15d-14(a) Certification of Chief Executive Officer.

 

 

 

31.2

 

Rule 13a-14(a)/15d-14(a) Certification of Chief Financial Officer.

 

 

 

32.1 *

 

Section 1350 Certifications of Chief Executive Officer and Chief Financial Officer.

 

 

 

101.INS **

 

XBRL Instance Document

 

 

 

101.SCH **

 

XBRL Taxonomy Extension Schema Document

 

 

 

101.CAL **

 

XBRL Taxonomy Extension Calculation Linkbase Document

 

 

 

101.LAB **

 

XBRL Taxonomy Extension Label Linkbase Document

 

 

 

101.PRE **

 

XBRL Taxonomy Extension Presentation Linkbase Document

 

 

 

101.DEF **

 

XBRL Taxonomy Definition Linkbase Document

 


*                 This exhibit is furnished herewith, but not deemed “filed” for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, or otherwise subject to liability under that section. Such certification will not be deemed to be incorporated by reference into any filing under the Securities Act or the Exchange Act, except to the extent that we explicitly incorporate it by reference.

 

**          Pursuant to Rule 406T of Regulation S-T, these interactive data files are furnished and not filed or a part of a registration statement or prospectus for purposes of sections 11 or 12 of the Securities Act of 1933, as amended, are deemed not filed for purposes of section 18 of the Securities Exchange Act of 1934, as amended, and otherwise are not subject to liability under these sections. We are deemed to have complied with the reporting obligation relating to the submission of interactive data files in these exhibits and are not subject to liability under the anti-fraud provisions of the Securities Act of 1933 or any other liability provision as long as we make a good faith attempt to comply with the submission requirements and promptly amend the interactive data files after becoming aware that the interactive data files fail to comply with the submission requirements.

 

69



Table of Contents

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this Report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

 

LOGITECH INTERNATIONAL S.A.

 

 

 

 

 

/s/ Guerrino De Luca

 

Guerrino De Luca
Chairman, President and
Chief Executive Officer

 

 

 

 

 

/s/ Erik K. Bardman

 

Erik K. Bardman

 

Senior Vice President, Finance

 

and Chief Financial Officer

 

August 6, 2012

 

70


EX-31.1 2 a12-15772_1ex31d1.htm EX-31.1

Exhibit 31.1

 

CERTIFICATIONS

 

I, Guerrino De Luca, certify that:

 

1.               I have reviewed this quarterly report on Form 10-Q of Logitech International S.A.;

 

2.               Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.               Based on my knowledge, the financial statements, and other financial information included in this quarterly report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.               The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a.               Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.              Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.               Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d.              Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.               The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a.               All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b.              Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

August 6, 2012

 

 

 

 

 

/s/ Guerrino De Luca

 

Guerrino De Luca

 

Chairman, President and

 

Chief Executive Officer

 

 


EX-31.2 3 a12-15772_1ex31d2.htm EX-31.2

Exhibit 31.2

 

CERTIFICATIONS

 

I, Erik K. Bardman, certify that:

 

1.               I have reviewed this quarterly report on Form 10-Q of Logitech International S.A.;

 

2.               Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.               Based on my knowledge, the financial statements, and other financial information included in this quarterly report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.               The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a.               Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.              Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.               Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d.              Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.               The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a.               All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b.              Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

August 6, 2012

 

 

 

 

 

/s/ Erik K. Bardman

 

Erik K. Bardman

 

Senior Vice President, Finance

 

and Chief Financial Officer

 

 


EX-32.1 4 a12-15772_1ex32d1.htm EX-32.1

Exhibit 32.1

 

CERTIFICATION OF THE CHIEF EXECUTIVE OFFICER AND CHIEF FINANCIAL OFFICER

PURSUANT TO RULE 13A-14(B) OR RULE 15D-14(B) AND SECTION 1350 OF CHAPTER 63 OF TITLE 18 OF THE UNITED STATES CODE

 

The certification set forth below is being submitted in connection with this quarterly report on Form 10-Q (the “Report”) of Logitech International S.A. (“the Company”) for the purpose of complying with Rule 13a-14(b) or Rule 15d-14(b) of the Securities Exchange Act of 1934 (the “Exchange Act”) and Section 1350 of Chapter 63 of Title 18 of the United States Code.

 

Guerrino De Luca, the Chief Executive Officer of the Company, and Erik K. Bardman, the Chief Financial Officer of the Company, each certify that, to the best of his knowledge:

 

(1)          the Report fully complies with the requirements of Section 13(a) or 15(d) of the Exchange Act; and

 

(2)          the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

August 6, 2012

 

 

 

 

 

/s/ Guerrino De Luca

 

Guerrino De Luca

 

Chairman and

 

Chief Executive Officer

 

 

 

 

 

/s/ Erik K. Bardman

 

Erik K. Bardman

 

Senior Vice President, Finance

 

and Chief Financial Officer

 

 


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Share-based compensation expense and amortization of intangible assets are presented in the following financial information by operating segment as &#8220;all other.&#8221; Long-lived assets are presented by geographic region. 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PADDING-LEFT: 0in; WIDTH: 50%; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" bgcolor="#CCEEFF" valign="bottom" width="50%"> <p style="TEXT-INDENT: -10pt; MARGIN: 0in 0in 0pt 20pt"><font style="FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt" size="2">Peripherals</font></p></td> <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; WIDTH: 4.16%; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" bgcolor="#CCEEFF" valign="bottom" width="4%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-FAMILY: Times New Roman; FONT-SIZE: 1pt" size="2">&#160;</font></p></td> <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; WIDTH: 1.3%; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" bgcolor="#CCEEFF" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt" size="2">$</font></p></td> <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; WIDTH: 18.7%; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" bgcolor="#CCEEFF" valign="bottom" width="18%"> <p style="TEXT-ALIGN: right; 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Stock Inducement Equity Plan 2012 [Member] Share-based compensation expense included in gross profit The allocation (or location) of expense to (in) gross profit. Gross Profit [Member] Time-based restricted stock units (RSUs) as awarded by a company to their employees as a form of incentive compensation. Time-based RSU [Member] Time-based RSUs Performance-based RSUs Performance-based restricted stock units (RSUs) as awarded by a company to their employees as a form of incentive compensation. Performance-based RSU [Member] Foreign Exchange Swap Contracts An agreement between two parties to exchange two currencies at a certain exchange rate at a certain time in the future. Foreign Exchange Swap Contracts [Member] Award Type [Axis] Other income/ expense The allocation (or location) of amounts to (in) other income and expense. Other Income Expense [Member] Peripherals Represents the Peripherals operating segment of the entity. Peripherals [Member] Video conferencing Represents the Video Conferencing operating segment of the entity. Video Conferencing [Member] Unsecured Bank Lines of Credit [Member] Unsecured bank lines of credit Represents information pertaining to unsecured bank lines of credit. Amendment Description Corporate Credit Cards [Member] Credit lines related to corporate credit cards Represents information pertaining to credit lines related to corporate credit cards. Amendment Flag Inventory Purchase Obligations [Member] Contractual obligation to purchase inventory such as raw and packaging materials, finished goods, supplies and other types of materials over periods less than one year. Inventory Purchase Obligations Operating Expenses [Member] Contractual obligation to provide funding of consulting services, marketing arrangements, advertising, outsourced customer services and other services over periods less than one year. Operating Expenses Capital Expenditure [Member] Contractual obligation to increase property, plant and equipment either through construction or future purchase over periods less than one year. Capital Expenditure Investment [Axis] Guarantee of contract manufacturers purchase obligations, with specified maximum Guarantees of the purchase obligations of contract manufacturers and original design manufacturers to certain component suppliers. Represents only those guarantees that have specified maximum exposure amounts. Guarantee of Contract Manufacturers Purchase Obligations with Specified Maximum [Member] Investment [Domain] Parent Guarantee Of Subsidiary Obligations Parent holding company guarantees of certain subsidiary contingent liabilities. Parent Guarantee of Subsidiary Obligations [Member] Parent guarantee of subsidiary purchases, with specified maximum Parent holding company guarantees of subsidiary purchase obligations. Represents only those guarantees that have specified maximum exposure amounts. Parent Guarantee of Subsidiary Purchases with Specified Maximum [Member] All Countries [Domain] Parent Guarantee Of Subsidiary Purchases Parent holding company guarantees of subsidiary purchase obligations. Parent Guarantee of Subsidiary Purchases [Member] Parent Guarantee for Purchase Obligation of Third Party Contract Manufacturer [Member] Parent Guarantee for purchases obligation of third-party contract manufacturer Parent holding company guarantees for purchases obligation of third-party contract manufacturer. Document and Entity Information Other Comprehensive Income, Defined Benefit Plans, Foreign Currency Exchange Rate Changes Foreign currency exchange rate changes Amount of adjustment to other comprehensive income (loss) resulting from foreign currency exchange rate changes of the entity's defined benefit plans. Other Comprehensive Income, Amortization Included in Net Income [Abstract] Amortization included in net loss: Shares Conditionally Authorized Shares, conditionally authorized Shares authorized by shareholders for future issuance on conversion or exercise of derivative securities. Valuation Allowances and Reserves Charged to Cost of Goods Sold for Product Inventory valuation adjustment Valuation allowances and reserves charged to cost of goods sold for Revue product Valuation adjustment charged to cost of goods sold Stock Issued During Period, Value, Option Exercises and Purchase Rights Sale of shares upon exercise of options and purchase rights Value of shares issued during the period as a result of the exercise of stock options or an employee stock purchase plan. Number of shares issued during the period as a result of the exercise of stock options or an employee stock purchase plan. Sale of shares upon exercise of options and purchase rights (in shares) Stock Issued During Period, Shares, Option Exercises and Purchase Rights The Company Current Fiscal Year End Date Employee Benefit Plans Schedule of Dilution Effect of Share-based Awards, Granted Assumed and Exercised [Table Text Block] Schedule of dilution effect of share-based awards granted, assumed and exercised Tabular disclosure of dilution effect of share-based awards granted, assumed and exercised. Schedule of Share-based Payment Award, Stock Options, Premium Priced Stock Options and Employee Purchase Plan Valuation Assumptions [Table Text Block] Schedule of assumptions used to determine the fair value of employee stock options, premium-priced stock options and shares purchased under the employee purchase plans Tabular disclosure of the significant assumptions used during the year to estimate the fair value of employee stock options, premium-priced stock sptions and employee stock purchase plans, including, but not limited to: (a) expected term, (b) expected volatility of the entity's shares, (c) expected dividends, (d) risk-free rate(s), and (e) discount for post-vesting restrictions. Schedule of Assumptions for Fair Value of Performance based RSU [Table Text Block] Schedule of assumptions applied for the fair value of performance-based RSUs using the Monte-Carlo simulation model Tabular disclosure of the significant assumptions used during the year to estimate the fair value of performance-based restricted stock units, including, but not limited to: (a) expected term, (b) expected volatility of the entity's shares, (c) expected dividends, (d) risk-free rate(s), and (e) discount for post-vesting restrictions. Schedule of Share-based Compensation Arrangement by Share-based Payment Award, Grants in Period [Table Text Block] Schedule of equity incentive awards granted Tabular disclosure of equity options or other equity instruments granted during the year. Schedule of Fair Value of Plan Assets [Table Text Block] Schedule of fair value of the defined benefit pension plan assets by major categories and by levels within the fair value hierarchy Tabular disclosure of the major categories of plan assets of pension plans, including the fair value of each major category of plan assets and the level within the fair value hierarchy in which the fair value measurements fall. Schedule of Balance Sheet Components Assets [Table Text Block] Schedule of components of balance sheet asset Tabular disclosure of the components of balance sheet asset accounts. Tabular disclosure of the components of balance sheet liability accounts. Schedule of components of balance sheet liability Schedule of Balance Sheet Components, Liability [Table Text Block] Schedule of changes in the allowance for doubtful accounts Schedule of Changes in Allowance for Doubtful Accounts [Table Text Block] Tabular disclosure of activity in the allowance for doubtful accounts. Schedule of Repurchase Plan [Table Text Block] Tabular disclosure of the details of share repurchase programs. Schedule of approved share buyback program Schedule of Shares Repurchased under Repurchase Plan [Table Text Block] Schedule of repurchased shares under share buyback program Tabular disclosure of shares repurchased under the share buyback program. Document Period End Date Schedule of Revenue by Product Family Excluding Inter Company Transactions [Table Text Block] Schedule of net sales by product family, excluding intercompany transactions Tabular disclosure of net sales by product family excluding intercompany transactions. Schedule of Revenue from External Customers by Geographic Area [Table Text Block] Tabular disclosure of geographic areas from which revenue is material and the amount of revenue from external customers attributed to those areas. Schedule of net sales to unaffiliated customers by geographic region Available-for-sale securities Available-for-sale Securities [Member] Schedule of Entity Wide Disclosure on Geographic Areas Long-Lived Assets [Table Text Block] Tabular disclosure of geographic areas in which material long-lived assets other than financial instruments, long-term customer relationships of a financial institution, mortgage and other servicing rights, deferred policy acquisition costs, and deferred tax assets are located, and amount of such long-lived assets located in that geographic area. Schedule of long-lived assets by geographic region Fiscal Period [Abstract] Fiscal Year Number of Weeks in Interim Quarter Number of weeks in each interim quarter Represents the number of weeks in each interim quarter. Number of Deliverables Number of deliverables Represents the number of deliverables on sale of products by the entity. Hardware Products Estimate Life Estimated life of hardware (in months) Represents the estimated life of hardware products. Summary of Significant Accounting Policies [Table] Information related to various accounting policies of the entity. Summary of Significant Accounting Policies [Line Items] Cash Equivalents Cash Equivalents Original Maturity Period Maximum original maturity period of cash equivalents (in months) Represents the original maturity period of investments classified as cash equivalents. China CHINA Share-based Compensation Arrangement by Share-based Payment Award, Options and Equity Instruments Other than Options Grants in Period Number of grants made during the period on share options (or share units) and option plans other than stock. Stock options and RSUs granted Stock options and restricted stock assumed in LifeSize acquisition Number of equity-based payment instruments such as stock (or unit) options assumed in acquisition during the reporting period. Share-based Compensation Arrangement by Share-based Payment Award, Options and Equity Instruments Other than Options Assumed in Acquisition Share-based Compensation Arrangement by Share-based Payment Award, Options and Equity Instruments Other than Options Forfeitures and Expirations in Period Number of share options (or share units) and option plans other than stock that were forfeited, cancelled, or had expired during the reporting period. Stock options and RSUs canceled, forfeited, or expired Share-based Compensation Arrangement by Share-based Payment Award, Options and Equity Instruments Other than Options Granted and Assumed in Period Net Number of share options (or share units) and option plans other than stock that were granted and assumed during the period net of forfeitures, cancellations, and expirations. Net awards granted and assumed (in shares) Grant Dilution Percentage Grant dilution (as a percent) Represents the grant dilution percentage which is computed based on net awards granted and assumed as a percentage of basic weighted average shares outstanding. Stock options exercised and RSUs vested Number of share options (or share units) exercised and option plans other than stock that vested during the reporting period. Share-based Compensation Arrangement by Share-based Payment Award, Options Exercised and Equity Instruments Other than Options Vested in Period Exercise Dilution Percentage Exercise dilution (as a percent) Represents the exercise dilution percentage which is computed based on options exercised as a percentage of basic weighted average shares outstanding. Share-based Compensation Arrangement by Share-based Payment Award, Options Assumed in Acquisition Assumed in LifeSize acquisition, Number (in shares) Number of share options (or share units) assumed pursuant to acquisitions. Germany GERMANY Share-based Compensation Arrangement by Share-based Payment Award, Options Assumed in Acquisition Weighted Average Exercise Price Assumed in LifeSize acquisition, Exercise Price (in dollars per share) Weighted average price at which grantees can acquire the shares assumed in acquisition during the reporting period. Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested, Outstanding, Total Fair Value Total fair value of options vested As of the balance sheet date, the total fair value of fully vested options outstanding. Share-based Compensation Arrangement by Share-based Payment Award, Options, Granted in Period Expected Forfeitures Rate Expected forfeitures (as a percent) The expected rate of forfeiture of options granted during the reporting period. Total number of fully vested in-the-money options exercisable (in shares) Represents the number of fully vested in-the-money options exercisable. Share-based Compensation Arrangement by Share-based Payment Award Number of Vested in the Money Exercisable Options Unvested options (in shares) The number of unvested stock options that validly exist and are outstanding as of the balance sheet date. Share-based Compensation Arrangement by Share-based Payment Award Options Nonvested Number Expected to vest (in shares) The number of stock options that are expected to vest as of the balance sheet date. Share-based Compensation Arrangement by Share-based Payment Award Options Expected to Vest Number Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options Assumed in Acquisition Assumed in LifeSize acquisition, Number (in shares) The number of equity-based payment instruments, excluding stock (or unit) options, that assumed in acquisition during the reporting period. Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options Assumed in Acquisition Weighted Average Grant Date Fair Value Assumed in LifeSize acquisition, Grant Date Fair Value (in dollars per shares) The weighted average fair value at grant date for nonvested equity-based awards assumed in acquisition during the period on other than stock (or unit) option plans. Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments, Other Than Options, Nonvested Grant Date Fair Value The grant date fair value of nonvested awards on equity-based plans excluding option plans (for example, phantom stock or unit plan, stock or unit appreciation rights plan, revenue or profit achievement stock award plan) for which the employer is contingently obligated to issue equity instruments or transfer assets to an employee who has not yet satisfied service or performance criteria necessary to gain title to proceeds from the sale of the award or underlying shares or units. Grant date fair value of outstanding RSUs (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Total Intrinsic Value The total intrinsic value of equity-based payment equity instruments, excluding stock (or unit) options, that vested during the reporting period as calculated by applying the disclosed pricing methodology. Total pretax intrinsic value of RSUs vested Premium Priced Stock Options [Member] Premium-priced stock options Premium-priced stock options as awarded by a company to their employees as a form of incentive compensation. First Tranche [Member] First Tranche Represents first tranche of premium-priced stock options of the entity. Second Tranche [Member] Second Tranche Represents second tranche of premium-priced stock options of the entity. Third Tranche [Member] Third Tranche Represents third tranche of premium-priced stock options of the entity. Share-based Compensation Arrangement by Share-based Payment Award, Grants in Period Aggregate Grant Date Fair Value Grant Date Fair Value Represents the aggregate grant-date fair value of awards granted during the reporting period as calculated by applying the disclosed option pricing methodology. The period of time, from the grant date until the time at which the share-based award expires. Share-based Compensation Arrangements by Share-based Payment Award, Expiration Term Term (in years) Share-based Compensation Arrangements by Share-based Payment Award, Vesting Terms Average Closing Share Price Trading Period Term under which shares will vest (in days) Represents the conditions under which shares will vest if the average closing share price trading period meets or exceeds the exercise price of the grant. Share-based Compensation Award to Individual by Title of Individual [Axis] Reflects the pertinent provisions pertaining to the share-based compensation awards, by individual. Title of Individual who Receives Share-based Compensation from Entity [Domain] Title of the individual (or the nature of the entity's relationship with the individual) who is a recipient of share-based compensation. Defined Benefit Plan, Initial Adoption of Plan Initial adoption of Japanese plan Represents the amount of increase or decrease due to the initiation of a new defined benefit pension plan. The amount of decrease in the benefit obligation due to administrative expense paid during the reporting period. Defined Benefit Plan, Administrative Expense Paid Administrative expense paid Defined Benefit Plan, Amortization of Transition Obligations Assets and Net Prior Service Cost Credit Amortization of net transition obligation and prior service cost The amount of the transition obligation or asset recognized and prior service cost or credit recognized in net periodic benefit cost relating to benefit changes attributable to plan participants' prior service pursuant to a plan amendment or a plan initiation. Represents discrete tax benefits resulting from the expiration of statutes of limitations and the closure of income tax audits in certain jurisdictions. Income Tax Benefit, Expiration of Statue of Limitations and Closure of Audits Discrete tax benefits Unrecognized Tax Benefits and Related Accrued Interest and Penalties The gross amount of unrecognized tax benefits pertaining to uncertain tax positions taken in tax returns as of the balance sheet date. In addition, this element represents the total of accruals as of the date of the statement of financial position for interest recognized for an underpayment of income taxes computed by applying the applicable statutory rate of interest to the difference between a tax position recognized for financial reporting purposes and the amount previously taken or expected to be taken in a tax return of the entity and the amount of statutory penalties for a tax position claimed or expected to be claimed by the entity, in its tax return, that does not meet the minimum statutory threshold to avoid payment of penalties. Unrecognized tax benefits and related accrued interest and penalties Increase in Current Deferred Tax Assets Due to Reclassification of Noncurrent to Current Deferred Tax Assets Increase in current deferred tax assets from reclassifications Increase in current deferred tax assets due to reclassification from noncurrent to current deferred tax assets. Property Plant and Equipment Gross before Non-depreciable Items Gross amount, at the balance sheet date, of long-lived physical assets used in the normal conduct of business and not intended for resale, excluding items not subject to depreciation. Property, plant and equipment, gross Property, Plant and Equipment, Net, before Non-depreciable Items Property, plant and equipment before non-depreciable items Tangible assets that are held by an entity for use in the production or supply of goods and services, for rental to others, or for administrative purposes and that are expected to provide economic benefit for more than one year; net of accumulated depreciation. Excludes items not subject to depreciation. Computer Equipment, Gross Computer equipment Computer equipment, gross. Allowance for Returns Allowance for returns Allowance for estimates of expected future product returns. Allowance for Cooperative Marketing Arrangements Allowance for cooperative marketing arrangements Represents the amount of allowance for cooperative marketing arrangements. Allowance for customer incentive programs Represents the amount of allowance for customer incentive programs. Allowance for Customer Incentive Programs Allowance for Pricing Programs Allowance for pricing programs Represents the amount of allowance for pricing programs. Income Tax and Value Added Tax Receivable Tax and value-added tax refund receivables Carrying amount as of the balance sheet date of income taxes previously overpaid to tax authorities (such as U.S. Federal, state and local tax authorities) representing refunds of overpayments or recoveries based on agreed-upon resolutions of disputes. Also includes the carrying amount as of the balance sheet date of value added taxes due either from customers arising from sales on credit terms, or as previously overpaid to tax authorities. Deposits and Other Deposits and other Represents deposits and other noncurrent assets not separately identified. Other Disclosure [Abstract] Other disclosures Summary of Significant Accounting Policies Inventory valuation reserve to reflect the lower of cost or market on inventory of Revue and related products. Inventory Valuation, Reserves for Product Adjustments made to inventories Accrued Freight and Duty Current Accrued freight and duty Carrying value as of the balance sheet date of obligations incurred through that date and payable for freight and duty. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). Entity Well-known Seasoned Issuer Normal Operating Cycle Period Entity's normal operating cycle period Represents the entity's normal operating cycle period. Entity Voluntary Filers Investment Maturity Period Represents the maturity period of an investment or group of investments. Maturity term (in years/days) Entity Current Reporting Status Number of Auction Rate Securities Sold Number of auction rate securities that have been sold Number of auction rate securities that have sold during the period. Entity Filer Category Carrying value of securities sold Carrying Value of Auction Rate Securities Sold Represents the carrying value of auction rate securities sold. Entity Public Float Par Value of Auction Rate Securities Sold Par value of securities sold Par value of auction rate securities that have sold during the period. Entity Registrant Name Number of Auction Rate Securities Liquidated Number of securities liquidated Represents the number of auction rate securities liquidated during the year. Entity Central Index Key Carrying Value of Auction Rate Securities Liquidated Total carrying value of securities liquidated Represents the carrying value of auction rate securities liquidated. Par Value of Auction Rate Securities Liquidated Total par value of securities liquidated Represents the par value of auction rate securities liquidated. Accumulated Other Comprehensive Income (Loss) Auction Rate Securities Liquidated Adjustment Accumulated appreciation or loss in the liquidated auction rate securities at the end of an accounting period. Loss recorded in accumulated other comprehensive income Par value of auction rate securities portfolio Available-for-sale Securities Par Value Par value and original cost of auction rate securities classified as available for sale. Entity Common Stock, Shares Outstanding Number of Auction Rate Securities Experienced Event of Default Number of auction rate securities that have experienced events of default. Number of securities that have experienced an event of default Par Value of Auction Rate Securities Experienced Event of Default Par value of auction rate securities that have experienced events of default. Par value of auction rate securities that have experienced an event of default Estimated Fair Value of Auction Rate Securities Experienced Event of Default Estimated fair value of auction rate securities that have experienced an event of default Estimated fair value of auction rate securities that have experienced events of default. Fair Value, Measurement with Unobservable Inputs Reconciliation, Recurring Basis, Asset, Gain Included in Earnings Realized gain on sales of securities Amount of gain recognized in earnings, arising from assets measured at fair value on a recurring basis using unobservable inputs (level 3). Fair Value, Measurement with Unobservable Inputs Reconciliation, Recurring Basis, Asset, Loss Included in Earnings Realized loss on sales of securities Amount of loss recognized in earnings, arising from assets measured at fair value on a recurring basis using unobservable inputs (level 3). Fair Value, Measurement with Unobservable Inputs Reconciliation, Recurring Basis, Asset, Gain Included in Other Comprehensive Income (Loss) Amount of gain recognized in other comprehensive income, arising from assets measured at fair value on a recurring basis using unobservable inputs (level 3). Unrealized gain Fair Value Measurement with Unobservable Inputs Reconciliation Recurring Basis Asset Loss Included in Other Comprehensive Income (Loss) and Earnings Unrealized loss Amount of gain (loss) recognized in other comprehensive income and earnings, arising from assets measured at fair value on a recurring basis using unobservable inputs (level 3). The amount of net gains and losses recognized in income during the period on derivative instruments designated and qualifying as hedging instruments in fair value hedges and related hedged items designated and qualifying in fair value hedges, on derivative instruments designated and qualifying as hedging instruments in cash flow hedges, and on derivative instruments not designated as hedging instruments, excluding amounts reclassified from accumulated other comprehensive income into income. Amount of gain (loss) recognized in income immediately Derivative Instrument, Gain (Loss) Recognized in Income Excluding Amount Reclassified from Accumulated OCI, Net Goodwill Reporting Unit Excess of Fair Value over Carrying Value Percentage, Minimum Represents the minimum excess of the fair value of each reporting unit over its carrying value, expressed as a percentage of the carrying value. Minimum percentage of carrying value by which the fair value of each reporting unit exceeded the carrying value Finite-Lived Intangible Assets, Amortization Expense, after Year Three Amount of amortization expense expected to be recognized after the third fiscal year following the latest fiscal year for assets, excluding financial assets and goodwill, lacking physical substance with a finite life. Future amortization expense, thereafter Line of Credit Facility Optional, Maximum Additional Borrowing Capacity Optional expansion, maximum borrowing capacity Maximum additional borrowing capacity under the credit facility without consideration of any current restrictions on the amount that could be borrowed or the amounts currently outstanding under the facility. Represents increased maximum borrowing capacity under the line of credit facility. Line of Credit Facility Increased Maximum Borrowing Capacity Increased maximum borrowing capacity Represents the commitment fee, expressed as a percentage of the variable margin on the line of credit facility. Line of Credit Facility Commitment Fee as Percentage of Variable Margin Commitment fee as percentage of the variable margin Aggregate amount of lender commitments which may be terminated upon a change of control of the entity Line of Credit Facility Aggregate Commitments Callable Upon Change of Control Represents the aggregate amount of lender commitments in relation to the total commitments under the line of credit facility which may be terminated by the lender upon a change of control of the entity. Accounts Receivable, Net, Current [Abstract] Accounts receivable: Building Facilities in Northern California [Member] Represents facilities for the Americas operations in Northern California. Building Facilities In Northern California Building Facilities in Texas [Member] Represents the LifeSize headquarters in Austin, Texas. Building Facilities In Texas Schedule of Product Warranty Liability [Table] Schedule of Product Warranty Liability [Table] Document Fiscal Year Focus Product Warranties Product Warranty Liability [Line Items] Document Fiscal Period Focus Standard Product Warranty, Period Warranty period Represents the period of the standard product warranty. Guarantee of Contract Manufacturers Purchase Obligations Guarantees of the purchase obligations of contract manufacturers and original design manufacturers to certain component suppliers. Guarantee of Contract Manufacturers Purchase Obligations [Member] Represents the number of guarantees. Guarantee Obligations Number Number of guarantees Guarantee Obligations Number without Specified Maximum Exposure Number of guarantees without a specified maximum exposure Represents the number of guarantees for which there is no specified maximum exposure amount. Represents the number of guarantees for which there is a specified maximum exposure amount. Number of guarantees with a specified maximum exposure Guarantee Obligations Number with Specified Maximum Exposure Outstanding Guarantee, Amount Guarantees outstanding Amount outstanding under guarantee obligations. Represents the period of the automatic extension of the term of the guarantee or each group of similar guarantees. Term of guarantee, automatic extension (in years) Guarantee Obligations Automatic Term Extension Number of Subsidiaries with Guarantees Number of subsidiaries with guarantees Represents the number of subsidiaries for which guarantees are provided. Common Stock Capital Shares Reserved for Future Issuance Employee Equity Incentive Plans Aggregate number of common shares reserved for future issuance under the entity's equity incentive plans. Conditional capital reserved for potential issuance on exercise of rights under employee equity incentive plans (in shares) Common Stock Capital Shares Reserved for Future Issuance Conversion Rights under Future Convertible Bond Issuance Aggregate number of common shares reserved for future issuance related to conversion rights under future convertible bond issuances. Conditional capital reserved for potential issuance to cover conversion rights under future convertible bond issuance (in shares) Percentage of Annual Net Income to be Retained in Legal Reserves Minimum Minimum percentage of annual net income to be retained in legal reserves Represents the minimum percentage of annual net income to be retained in legal reserves. Legal Reserves Threshold at which Annual Net Income not Required to be Retained Threshold of legal reserves as a percentage of issued and outstanding aggregate par value per share capital at which a minimum percentage of annual net income is no longer required to be retained Represents the threshold of legal reserves as a percentage of issued and outstanding aggregate par value per share capital at which a minimum percentage of annual net income is no longer required to be retained. Document Type Portion of Legal Reserves Included in Appropriated Retained Earnings Portion of appropriated retained earnings representing legal reserves A segregation of the portion of retained earnings which is unavailable for dividend distribution representing legal reserves. A segregation of the portion of retained earnings which is unavailable for dividend distribution representing reserves for treasury shares. Portion of Treasury Share Reserves Included in Appropriated Retained Earnings Portion of appropriated retained earnings representing reserves for treasury shares September 2008 Share repurchase program authorized September 2008. Share Repurchase Program September 2008 [Member] Share Repurchase Program September 2008 Amended [Member] Details pertaining to amended share repurchase program which was authorized September 2008. September 2008 - amended Accounts receivable Accounts Receivable, Net, Current Accounts receivable, net Share repurchase program authorized June 2007. June 2007 Share Repurchase Program June 2007 [Member] Stock Repurchased during Period Shares subject to Cancellation Shares repurchased subject to cancellation Represents the number of shares repurchased subject to cancellation during the period. Aggregate number of common shares reserved for future issuance under the entity's equity incentive plans before amendment. Common Stock Capital Shares Reserved for Future Issuance Employee Equity Incentive Plans before Amendment Conditional capital reserved for potential issuance on exercise of rights under employee equity incentive plans, before amendment (in shares) Defined Benefit Plan, Accumulated Other Comprehensive Income (Loss), Pension Liability Tax Amount Pension liability adjustments, tax amount The tax amount related to the total of net gain (loss), prior service cost (credit), and transition assets (obligations), as well as minimum pension liability if still remaining, included in accumulated other comprehensive income associated with a defined benefit pension or other postretirement plan(s) because they have yet to be recognized as components of net periodic benefit cost. Retail - Pointing Devices Represents the retail pointing devices product family. Retail Pointing Devices [Member] Retail Keyboards Desktops [Member] Retail - Keyboards & Desktops Represents the retail keyboards and desktops product family. Retail - Audio Represents the retail audio product family. Retail Audio [Member] Retail - Video Represents the retail video product family. Retail Video [Member] Accounts Receivable, Gross, Current Accounts receivable Retail - Gaming Represents the retail gaming product family. Retail Gaming [Member] Retail - Digital Home Represents the retail digital home product family. Retail Digital Home [Member] OEM Represents the original equipment manufacturer product family. Original Equipment Manufacturer [Member] Video Conferencing Represents the video conferencing product family. Life Size [Member] Consolidated net sales Aggregate revenue during the period from the sale of goods and services in the normal course of business, after deducting returns, allowances and discounts, when it serves as a benchmark in a concentration of risk calculation. Sales Revenue Net [Member] Consolidated long-lived assets Carrying amount as of the balance sheet date of long-lived assets when it serves as a benchmark in a concentration of risk calculation. Long-Lived Assets [Member] Americas Americas [Member] Represents the information pertaining to Americas. EMEA Europe Middle East and Africa [Member] Represents the information pertaining to Europe Middle East and Africa. Asia Pacific Asia Pacific [Member] Represents the information pertaining to Asia Pacific. Single customer group Represents the details that pertain to one customer group. Individual Customer Group [Member] Single customer Represents the details that pertain to one customer. Individual Customer [Member] No other single country Represents information pertaining to a single country. Individual Country [Member] Concentration Risk [Abstract] Concentration risk Percentage of Concentration Risk Threshold Threshold not reached for reporting individual countries (as a percent) Threshold percentage which the entity uses for disclosure. Number of Major Customers Number of major customer Represents the number of major customers. Range of Exercise Prices from Dollars 1.00 to 11.45 [Member] $1.00 - $11.45 Represents the range of exercise prices from 1.00 dollars to 11.45 dollars. Accounts payable Accounts Payable, Current Range of Exercise Prices from Dollars 11.46 to 16.35 [Member] $11.46 - $16.35 Represents the range of exercise prices from 11.46 dollars to 16.35 dollars. Range of Exercise Prices from Dollars 16.36 to 23.35 [Member] $16.36 - $23.35 Represents the range of exercise prices from 16.36 dollars to 23.35 dollars. Represents the range of exercise prices from 23.36 dollars to 50.00 dollars. $23.36 - $50.00 Range of Exercise Prices from Dollars 23.36 to 50.00 [Member] Share-based Compensation, Shares Authorized Under Stock Option Plans, Exercise Price Range Outstanding Options [Abstract] Options Outstanding Share-based Compensation, Shares Authorized Under Stock Option Plans, Exercise Price Range Exercisable Options [Abstract] Options Exercisable Swiss Bonds [Member] Swiss bonds Represents the debt security, issued by the domestic authority, in which the authorized issuer owes the holder a debt and is obliged to repay the principal and interest (the coupon). Foreign Bonds [Member] Foreign bonds Represents the debt security, issued by a foreign authority, in which the authorized issuer owes the holder a debt and is obliged to repay the principal and interest (the coupon). Hedge and Investment Funds [Member] Hedge and investment funds Represents information pertaining to hedge and investment funds. Commodity Fund [Member] Commodity fund Represents the information pertaining to investment in commodity fund. Other Plan Assets [Member] Other Represents other plan assets not otherwise defined in the taxonomy. Accounts Receivable [Member] Accounts receivable Defined Benefit Plan, Changes in Accumulated Other Comprehensive Income (Loss) Roll Forward Changes in accumulated other comprehensive loss related to the defined benefit pension plans Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Expected Long-Term Return On Assets Expected average rate of return on plan assets (as a percent) An assumption as to the rate of return on plan assets that is used to calculate benefit obligation. Defined Benefit Plan, Expected Future Benefit Payments, Net Total Represents the total amount of benefits expected to be paid in future from a defined benefit plan. Deferred Compensation Plan, Compensation Deferrals Percentage Percentage of vested salary and incentive compensation deferrals permitted to eligible employees The percentage of vested salary and incentive compensation deferrals permitted to be made by eligible employees under the terms of the deferred compensation plan. Deferred Compensation Plan Investment, Income (Loss) The amount of investment income (loss) related to deferred compensation plan during the accounting period. Investment income related to deferred compensation plan Other Income Expense Other, net Represents the net amount of all other income and expenses recognized by the entity in the period not otherwise specified in the income statement. Credit Exposure Limitation, Number of Financial Institutions Number of financial institutions to which company limits the amount of credit exposure Represents the number of financial institutions to which the entity limits the amount of credit exposure. Customer Payment Period Customer payment term (in days) Represents the payment term for customers to pay for product sales. The period of time during which the equity-based award expires. Term of award (in years) Share-based Compensation Arrangement by Share-based Payment Award, Expiration Period Share-based Compensation Arrangement by Share-based Payment Award, Number of Equal Annual Installments for Award Vesting Number of equal annual installments in which the awards vest Represents the number of equal annual installments over which the awards vest on the grant date anniversary. United States Employee Share Purchase Plan 1996 [Member] 1996 ESPP Represents the details pertaining to the 1996 ESPP (1996 Employee Share Purchase Plan (U.S.). Stock Incentive Plan 2006 [Member] 2006 Plan Represents the details pertaining to the 2006 Plan (2006 Stock Incentive Plan). United States Employee, Share Purchase Plan 1996 and Non United States Employee Share Purchase Plan 2006 [Member] Represents the details pertaining to the 1996 ESPP (1996 Employee Share Purchase Plan (U.S.) and 2006 ESPP (2006 Employee Share Purchase Plan (Non-U.S.). 1996 ESPP and 2006 ESPP Non-executive Directors [Member] Non-executive directors Represents non-executive directors of the entity. Employees [Member] Employees Represents employees of the entity. Income Tax Reconciliation, Transaction Costs Transaction costs The portion of the difference between total income tax expense or benefit as reported in the Income Statement and the expected income tax expense or benefit computed by applying the domestic federal statutory income tax rates to pretax income from continuing operations that is attributable to changes in the transaction costs in the period. Countries [Axis] Income Tax Benefit for Research Tax Credit Tax benefit for research tax credit Represents the amount of income tax benefit for research tax credits. Income Tax Benefit for State Tax Rate Tax benefit for state tax rate Represents details pertaining to income tax provision related to change in the effective state tax rate. Three Dconnexion [Member] 3Dconnexion Details pertaining to the sale of 3Dconnexion. Period over which entity would not generate adequate capital gains before capital gain expires (in years) Represents the period over which entity would not generate adequate capital gains before capital gain expires. Period over Which Entity Would Not Generate Adequate Capital Gains Income Tax Carryforwards [Table] Schedule reflecting pertinent information, such as tax authority, amounts and expiration dates of net operating loss, capital loss and tax credit carryforwards, including an assessment of the likelihood of utilization. Income Tax Carryforwards [Line Items] Net operating loss and tax credit carryforwards Operating Loss Carryforwards if Realized to be Credited to Equity Net operating loss if realized, to be credited to equity Represents the operating loss carryforwards, if realized to be credited to equity. Tax Credit Carryforward Amount If Realized to be Credited to Equity Tax credit carryforwards if realized, to be credited to equity Represents the tax credit carryforward, if realized to be credited to equity. Undistributed Earnings of Non-swiss Subsidiaries Amount of undistributed earnings of non-Swiss subsidiaries intended to be permanently reinvested outside Switzerland that are not subject to Swiss income taxes. Cumulative amount of unremitted earnings of non-Swiss subsidiaries Tax Benefits, Recognization Basis for Uncertain Tax Position Likelihood Realization Greater than Percentage Percentage of likelihood of realization of recognized tax benefit The percentage of likelihood of realization that the tax position must exceed in order for the amount to be recognized in the financial statements. Mirial Represents Mirial S.r.l. con socio unico, an Italian company which is a leading provider of personal and mobile video conferencing solutions. Mirial SRL Company [Member] Life Size Communications Inc [Member] LifeSize Represents LifeSize Communications, Inc., an Austin, Texas-based privately-held company specializing in high definition video communication products and services. Sight Speed Inc [Member] SightSpeed Represents SightSpeed Inc., a privately held company which provides high-quality internet video communications services. Patents and core technology Patents and core technology acquired represents awarded patents, filed patent applications and core architectures. Patents and Core Technology [Member] Customer relationships and other An asset acquired in a business combination representing a customer relationship and other intangible assets that exist between the entity and its customer if (a) the entity has information about the customer and has regular contact with the customer, and (b) the customer has the ability to make direct contact with the entity. Customer Relationships and Other Intangible Assets [Member] Customer contracts and other Customer contracts and other intangible assets relates to the ability to sell existing, in-process, and future versions of the technology. Customer Contracts and Other Intangible Asset [Member] Paradial AS Represents Paradial AS, a Norwegian company providing firewall and NAT (network address translation) traversal solutions for video communications. Paradial AS Company [Member] TV Compass Inc [Member] TV Compass Represents TV Compass, Inc., a company based in Chicago, Illinois which provides video software and services for web and mobile devices. Share-based Compensation, Arrangement by Share-based Payment Award, Options, Assumed in Period, Weighted Average Grant Date Fair Value Weighted average fair value for the stock options assumed (in dollars per share) The weighted average grant-date fair value of stock options assumed during the reporting period as calculated by applying the disclosed option pricing methodology. Business Acquisition, Cost of Acquired Entity Escrow Deposit as Security for Indemnification Claims Amount deposited into an escrow account as security for indemnification claims Represents the portion of the purchase consideration deposited in an escrow account as security for indemnification claims under the merger agreement. Business Acquisition, Cost of Acquired Entity Deposit in Stockholder Representative Expense Fund Amount deposited in a stockholder representative expense fund Represents the portion of the purchase consideration deposited in a stockholder representative expense fund. Represents the percentage of escrow fund disbursed to the former holders of the acquiree's capital stock, vested options and warrants. Business Acquisition, Percentage of Escrow Deposit Disbursed to Former Holders of Acquiree Capital Stock Vested Options and Warrants Percentage of escrow fund disbursed to the former holders of the acquiree's capital stock, vested options and warrants Cash and Stock Option Incentive Plan Requisite Service Period Estimated period over which an employee is required to provide service in exchange for the cash and equity-based incentive plan award. Performance period of plan (in years) Cash and Stock Option Incentive Plan Cash Incentive Available Total available cash incentive Represents the amount of cash incentive available for employees over the performance period of incentive plan. Cash and Stock Option Incentive Plan Cash Incentive Paid to Date Cash incentive paid Represents the cumulative amount of cash incentive available for employees over the performance period of incentive plan which has been paid. Business Acquisition, Purchase Price Allocation, Deferred Tax Liabilities, Net Deferred tax liability, net Represents the amount of acquisition cost of a business combination allocated to deferred tax liabilities, net. Disposal Group Period for which Entity Continues to Manufacture and Sell Products under Contractual Arrangement Period for which the company will continue to manufacture and sell 3Dconnexion products (in years) Represents the period for which the entity continues to manufacture and sell products as per the contractual agreement. Employee Termination Contract Termination and Other Associated Costs [Member] Employee termination, contract termination and other associated costs Represents information pertaining to employee termination, contract termination and other associated costs associated with the exit from or disposal of business activities or restructurings pursuant to a plan. Future Rent Obligations, Fair Value Disclosure Fair value of future rent obligations Represents the fair value of future rent obligations related to the company's former Americas headquarters. Number of Major Categories Number of major categories of programs Represents the number of major categories of programs. Allowance for Co-operative Marketing Arrangements [Member] Allowances for cooperative marketing arrangements Represents details pertaining to cooperative marketing arrangements. Allowance for Customer Incentive Programs [Member] Allowances for customer incentive programs Represents details pertaining to customer incentive programs. Allowance for Pricing Programs [Member] Allowances for pricing programs Represents details pertaining to pricing programs. Type of Asset Accounts [Axis] Information by different type of accounts. Type of Asset Accounts [Domain] Information of type of accounts. Contra Asset Accounts [Member] Represents the information pertaining to Contra Asset Accounts. Contra Asset Accounts Revisions to Contra Asset Accounts [Member] Revisions to Contra Asset Accounts Represents the information pertaining to Revisions to Contra Asset Accounts. Adjustment for Direct Customer Amounts Not Previously Included in Valuation and Qualifying Accounts [Member] Direct customer amounts not previously included in Schedule II Represents the correction of error by the effect of direct customer amounts not previously included in valuations and qualifying accounts. Adjustment for Indirect Customer Amounts Incorrectly Included in Valuation and Qualifying Accounts [Member] Indirect customer amounts incorrectly included in Schedule II Represents the correction of error by the effect of indirect customer amounts incorrectly included in valuations and qualifying accounts. Adjustment for Computational Error [Member] Computational error Represents the correction of error by eliminating the effect of computational error. Adjustment for Customer Incentive Program Activity Previously Included in Pricing Programs [Member] Customer incentive program activity previously included in pricing program Represents the correction of error the effect of customer incentive program activity previously included in pricing program. Accrued Liabilities, Current [Abstract] Accrued liabilities: Adjustment for Customer Incentive Program Activity Incorrectly Subtracted from Amount Previously Reported Adjustment for customer incentive program activity incorrectly subtracted from amount previously reported Represents the adjustment for customer incentive program activity incorrectly subtracted from amount previously reported in the qualifying and valuation account. Write-offs charged to (recovered against) allowance Total of the deductions in a given period to allowances and reserves and recoveries of amounts due to the Entity that had been previously written off as uncollectible. Valuation Allowances and Reserves Deductions Recoveries Accrued Income Taxes, Noncurrent Income taxes payable - non-current United States UNITED STATES Accrued Income Taxes, Current Income taxes payable - current Accrued Marketing Costs, Current Accrued marketing expenses Accrued liabilities Accrued Liabilities, Current Accrued liabilities Accrued royalties Accrued Royalties, Current Accumulated Other Comprehensive Income (Loss), Foreign Currency Translation Adjustment, Net of Tax Cumulative translation adjustment Accumulated other comprehensive loss Accumulated Other Comprehensive Income (Loss) [Member] Accumulated Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Net of Tax Pension liability adjustments, net of tax of $752 and $752 Accumulated Other Comprehensive Income (Loss), Cumulative Changes in Net Gain (Loss) from Cash Flow Hedges, Effect Net of Tax Net deferred hedging gains (losses) Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract] Components of accumulated other comprehensive loss Accumulated Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax Unrealized gain on investments Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Less: accumulated depreciation Accumulated other comprehensive loss Accumulated Other Comprehensive Income (Loss), Net of Tax Total Acquired Finite-Lived Intangible Assets [Line Items] Other intangible assets Intangible Assets with Finite Lives Additional paid-in capital Additional Paid in Capital, Common Stock Additional paid-in capital Additional Paid-in Capital [Member] Adjustments for Error Correction [Domain] Non-cash items included in net loss: Adjustments, Noncash Items, to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Tax benefit from exercise of stock options Adjustments to Additional Paid in Capital, Income Tax Benefit from Share-based Compensation Share-based compensation expense Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Advertising Expense Advertising costs charged to marketing and selling expenses Advertising Costs, Policy [Policy Text Block] Advertising Costs Allocated Share-based Compensation Expense, Net of Tax Share-based compensation expense, net of income tax Allocated Share-based Compensation Expense Share-based compensation expense Allowance for Doubtful Accounts Receivable, Current Allowance for doubtful accounts Balance at the beginning of the period Balance at the end of the period Allowance for Sales Returns [Member] Allowance for sales return Allowance for Doubtful Accounts, Current [Member] Allowance for doubtful accounts Amortization of other intangible assets Amortization of Intangible Assets Amortization expense for other intangible assets Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Anti-dilutive share equivalents excluded from the computation of diluted net income per share Asset retirement obligations, beginning of period Asset Retirement Obligation Asset retirement obligations, end of period Accretion expense Asset Retirement Obligation, Accretion Expense Foreign currency translation Asset Retirement Obligation, Foreign Currency Translation Liabilities incurred Asset Retirement Obligation, Liabilities Incurred Asset Retirement Obligation, Roll Forward Analysis [Roll Forward] Changes to the asset retirement obligation liability Liabilities settled Asset Retirement Obligation, Liabilities Settled Asset Retirement Obligation, Revision of Estimate Revisions Assets Held-in-trust Cash held by the Rabbi Trust Assets, Fair Value Disclosure Total assets at fair value Current assets: Assets, Current [Abstract] ASSETS Assets [Abstract] Total current assets Assets, Current Total assets Assets Auction Rate Securities [Member] Auction rate securities Auction Market Preferred Securities, Stock Series, Rate Setting Interval Number of days for reset of interest rates on auction rate securities Available-for-sale Securities, Fair Value Disclosure Available-for-sale securities Available-for-sale Securities, Gross Realized Gain (Loss) Gain on sale of available-for-sale securities Proceeds on sale of securities Available-for-sale Securities, Gross Realized Gains (Losses), Sale Proceeds Average Remaining Maturity of Foreign Currency Derivatives Average maturity Balance Sheet Components Bank Time Deposits [Member] Time deposits Basis of Presentation and Significant Accounting Policies [Text Block] Summary of Significant Accounting Policies Basis of Accounting, Policy [Policy Text Block] Recent Accounting Pronouncements Building and Building Improvements [Member] Plant, buildings and improvements Building [Member] Plant and buildings Buildings and Improvements, Gross Plant, buildings and improvements Business Acquisition, Pro Forma Earnings Per Share, Basic Net income per share - basic Business Acquisition [Axis] Business Acquisition, Pro Forma Information [Abstract] Unaudited pro forma financial information Business Acquisition, Purchase Price Allocation, Intangible Assets Not Amortizable In-process research and development Business Acquisition, Purchase Price Allocation, Goodwill Amount Goodwill acquired Net sales Business Acquisition, Pro Forma Revenue Business Acquisition, Acquiree [Domain] Business Acquisition, Pro Forma Information [Table Text Block] Schedule of unaudited pro forma financial information Business Acquisition, Purchase Price Allocation [Abstract] Allocation of total consideration to the assets acquired and liabilities assumed Business Acquisition, Pro Forma Net Income (Loss) Net income Business Acquisition, Equity Interest Issued or Issuable, Number of Shares Number of entity's shares for awards assumed Business Acquisition, Purchase Price Allocation, Liabilities Assumed Liabilities assumed Business Acquisition, Pro Forma Earnings Per Share, Diluted Net income per share - diluted Acquisitions and Divestitures Business Acquisition, Purchase Price Allocation, Amortizable Intangible Assets Identifiable intangible assets acquired Business Acquisition, Purchase Price Allocation, Deferred Taxes Asset (Liability), Net, Noncurrent Deferred tax asset, net Business Acquisition, Purchase Price Allocation, Assets Acquired Assets acquired Business Acquisition, Cost of Acquired Entity, Transaction Costs Transaction costs Business Acquisition, Cost of Acquired Entity, Equity Interests Issued and Issuable Fair value of stock options assumed that is a part of the consideration paid Business Acquisition [Line Items] Acquisitions Business Acquisition, Purchase Price Allocation, Property, Plant and Equipment Tangible assets acquired Debt assumed Business Acquisition, Purchase Price Allocation, Noncurrent Liabilities, Long-term Debt Total consideration Business Combination, Consideration Transferred Net increase (decrease) in accrued purchases of property and equipment Capital Expenditures Incurred but Not yet Paid Capitalized Computer Software, Gross Computer software Cash [Member] Cash Cash and cash equivalents Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents at beginning of period Cash and cash equivalents at end of period Cash acquired Cash Acquired from Acquisition Cash and Cash Equivalents, Policy [Policy Text Block] Cash Equivalents Cash and Cash Equivalents, Fair Value Disclosure Cash and cash equivalents Cash and Cash Equivalents [Member] Cash and cash equivalents Cash Flow Hedging [Member] Cash Flow Hedges Class of Treasury Stock [Table] Commitments and Contingencies Commitments and Contingencies Disclosure [Text Block] Commitments and Contingencies Commitments and contingencies Commitments and Contingencies. Registered shares Common Stock [Member] Common Stock, Shares, Outstanding Balance (in shares) Balance (in shares) Shares, issued Common Stock, Shares, Issued Common Stock, Value, Outstanding Shares, par value CHF 0.25 - 191,606 issued and authorized and 50,000 conditionally authorized at June 30, 2012 and March 31, 2012 Shares, par value (in CHF per share) Common Stock, Par or Stated Value Per Share Shares, authorized Common Stock, Shares Authorized Compensation and Employee Benefit Plans [Text Block] Employee Benefit Plans Components of Deferred Tax Assets and Liabilities [Abstract] Deferred income tax assets and liabilities Total comprehensive loss Comprehensive Income (Loss), Net of Tax, Attributable to Parent Total comprehensive loss Comprehensive Income, Policy [Policy Text Block] Comprehensive Income Comprehensive income (loss) Comprehensive Income [Member] Computer Equipment [Member] Computer equipment Concentration Risk Type [Domain] Concentration Risk [Line Items] Concentration of Credit Risk Concentration Risk Benchmark [Domain] Concentration Risk [Table] Concentration Risk Benchmark [Axis] Concentration Risk, Credit Risk, Policy [Policy Text Block] Concentration of Credit Risk Concentration Risk Type [Axis] Concentration Risk, Percentage Percentage of benchmark derived from specified source Basis of Presentation Consolidation, Policy [Policy Text Block] Construction in Progress [Member] Construction-in-progress Construction in Progress, Gross Construction-in-progress Cost of goods sold Cost of Sales [Member] Cost of goods sold Cost of Goods and Services Sold Credit Facility [Domain] Credit Facility [Axis] Credit Concentration Risk [Member] Credit concentration Current Income Tax Expense (Benefit), Continuing Operations [Abstract] Current: Current Foreign Tax Expense (Benefit) Non-Swiss Current Federal Tax Expense (Benefit) Swiss Customer Concentration Customer Concentration Risk [Member] Customer Contracts [Member] Customer contracts Designated as Hedging Instrument [Member] Derivatives designated as hedging instruments Debt Disclosure [Text Block] Financing Arrangements Financing Arrangements Debt Issuance Cost Non-recurring commitment and legal fees Debt Securities [Member] Debt securities Deferred Tax Assets, Property, Plant and Equipment Depreciation and amortization Deferred Compensation Arrangements [Abstract] Deferred Compensation Plan Deferred Tax Liabilities, Net [Abstract] Deferred tax liabilities: Deferred Federal Income Tax Expense (Benefit) Swiss Deferred Rent Credit, Noncurrent Deferred rent Deferred Income Tax Expense (Benefit), Continuing Operations [Abstract] Deferred: Deferred Foreign Income Tax Expense (Benefit) Non-Swiss Deferred Tax Liabilities, Gross Gross deferred tax liabilities Deferred income taxes and other Deferred Income Tax Expense (Benefit) Total Deferred Tax Assets, Net of Valuation Allowance Gross deferred tax assets Deferred Tax Assets, Net Net deferred tax assets Deferred Tax Assets, Net [Abstract] Deferred tax assets: Deferred Tax Assets, Net of Valuation Allowance, Current Deferred taxes Deferred tax assets Deferred Tax Assets, Capital Loss Carryforwards Capital loss carryforwards Deferred revenue Deferred Revenue, Current Deferred Tax Assets, Operating Loss Carryforwards Net operating loss carryforwards Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals Accruals Deferred Tax Assets, Tax Credit Carryforwards Tax credit carryforwards Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Share-based Compensation Cost Share-based compensation Deferred Tax Assets, Net of Valuation Allowance, Noncurrent Deferred taxes Deferred Tax Assets, Valuation Allowance Valuation allowance Valuation allowance Deferred Tax Liabilities, Intangible Assets Acquired intangible assets Deferred Compensation Liability, Classified, Noncurrent Obligation for deferred compensation Defined Benefit Plan, Actual Return on Plan Assets Actual return on plan assets Defined Benefit Plan, Recognized Net Gain (Loss) Due to Settlements Settlement Defined Benefit Plan, Change in Fair Value of Plan Assets [Roll Forward] Changes in the fair value of defined benefit pension plan assets Defined Benefit Plan, Current Assets Current assets Defined Benefit Plan, Amounts Recognized in Balance Sheet Net liability Defined Benefit Plan, Accumulated Benefit Obligation Accumulated benefit obligation Estimated rate of compensation increase (as a percent) Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Rate of Compensation Increase Defined Benefit Plan, Amortization of Prior Service Cost (Credit) Amortization of net prior service cost Defined Benefit Plan, Benefits Paid Benefits paid Defined Benefit Plan, Expected Future Benefit Payments, Year Three 2015 Defined Benefit Plan, Change in Benefit Obligation [Roll Forward] Changes in projected benefit obligations Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Rate of Compensation Increase Estimated rate of compensation increase (as a percent) Defined Benefit Plan, Amortization of Net Prior Service Cost (Credit) Amortization of net prior service costs Defined Benefit Plan, Administration Expenses Administrative expenses paid Defined Benefit Plan, Actuarial Gain (Loss) Recognized net actuarial loss Pension and Other Postretirement Benefit Plans, Amounts that Will be Amortized from Accumulated Other Comprehensive Income (Loss) in Next Fiscal Year [Abstract] Accumulated other comprehensive loss which are expected to be recognized as a component of net periodic benefit cost in the next fiscal year Defined Benefit Plan, Amortization of Net Gains (Losses) Amortization of net actuarial loss Defined Benefit Plan, Expected Future Benefit Payments, Year Two 2014 Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Expected Long-term Return on Assets Expected average rate of return on plan assets (as a percent) Pension and 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Payments, Year Four 2016 Defined Benefit Plan, Accumulated Other Comprehensive Income (Loss), after Tax [Abstract] Amounts recognized in other comprehensive income related to defined benefit pension plans Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate Discount rate (as a percent) Defined Benefit Plan, Expected Future Benefit Payments, Next Twelve Months 2013 Defined Benefit Plan, Amortization of Gains (Losses) Actuarial loss Defined Benefit Plan Disclosure [Line Items] Employee Share Purchase Plans and Stock Incentive Plans Defined benefit plans Defined Benefit Plan, Contributions by Plan Participants Plan participant contributions Defined Benefit Plan, Benefit Obligation Projected benefit obligation, beginning of year Projected benefit obligation, end of year Defined Benefit Plan, Amortization of Transition Obligations (Assets) Amortization of net transition obligation Pension and Other Postretirement Benefit Plans, Amounts that Will be Amortized from Accumulated Other Comprehensive Income (Loss) in Next Fiscal Year Total Defined Benefit Plan, Expected Future Benefit Payments, Five Fiscal Years Thereafter Thereafter Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Benefit Obligation [Abstract] Actuarial assumptions for the benefit obligation Defined Benefit Plan, Expected Future Benefit Payments, Fiscal Year Maturity [Abstract] Benefit payments that the Company expects the plans to pay Defined Benefit Plan, Settlements, Benefit Obligation Settlement Defined Benefit Plan, Expected Return on Plan Assets Expected return on plan assets Defined Benefit Plan, Settlements, Plan Assets Settlement Defined Benefit Plan, Foreign Currency Exchange Rate Changes, Plan Assets Foreign currency exchange rate changes Defined Benefit Plans and Other Postretirement Benefit Plans [Axis] Defined Benefit Plan, Actual Plan Asset Allocations Plan assets allocation (as a percent) Defined Benefit Plan, Interest Cost Interest cost Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Net Periodic Benefit Cost [Abstract] Actuarial assumptions for the periodic cost Defined Benefit Plan, Fair Value of Plan Assets Fair value of plan assets, beginning of year Fair value of plan assets, end of year Plan assets at fair value Defined Benefit Plan, Net Periodic Benefit Cost Net periodic benefit cost Defined Benefit Plan, Service Cost Service cost Defined Contribution Pension and Other Postretirement Plans Disclosure [Abstract] Defined Contribution Plans Defined Benefit Plan, Funded Status of Plan Projected benefit obligations that exceeded plan assets Defined Benefit Plans and Other Postretirement Benefit Plans [Domain] Defined Contribution Plan, Cost Recognized Expense for defined contribution plans Defined Benefit Plan, Plan Amendments Plan amendments Defined Benefit Plan, Foreign Currency Exchange Rate Gain (Loss) Foreign currency exchange rate changes Defined Benefit Plan, Net Periodic Benefit Cost [Abstract] Net periodic benefit cost Defined Benefit Plan, Estimated Future Employer Contributions in Next Fiscal Year Company's expected contribution to defined benefit pension plans Defined Benefit Pension Plan, Liabilities, Noncurrent Defined benefit pension plan liability Defined Benefit Plan, Asset Categories [Axis] Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Prior Service Cost (Credit), before Tax Net prior service cost Depreciation, Depletion and Amortization Total depreciation and amortization Depreciation Depreciation Derivative Instrument Risk [Axis] Derivative [Line Items] Derivative Financial Instruments Derivative [Table] Derivative Asset, Fair Value, Gross Asset Asset Derivatives, Fair Value Derivative Liability, Fair Value, Gross Liability Liability Derivatives, Fair Value Derivative Instruments, Gain (Loss) Reclassified from Accumulated OCI into Income, Effective Portion, Net Amount of gain (loss) reclassified from accumulated other comprehensive loss into income Hedging Relationship [Axis] Derivative Instruments, Gain (Loss) Recognized in Income, Net Amount of gain (loss) recognized in income immediately Derivative Contract Type [Domain] Amounts of gains and losses on the derivative instruments Derivative Instruments, Gain (Loss) [Line Items] Amount of gain (loss) recognized in income immediately Derivative, Net Hedge Ineffectiveness Gain (Loss) Derivative Instruments, Gain (Loss) by Hedging Relationship, by Income Statement Location, by Derivative Instrument Risk [Table] Derivative Instruments, Gain (Loss) Recognized in Other Comprehensive Income (Loss), Effective Portion, Net Net amount of gain (loss) deferred as a component of accumulated other comprehensive loss Derivative Instruments, Gain (Loss) Recognized in Income, Ineffective Portion and Amount Excluded from Effectiveness Testing, Net Amount of gain (loss) recognized in income immediately Derivatives, Policy [Policy Text Block] Derivative Financial Instruments Derivative Financial Instruments Derivatives, Fair Value [Line Items] Developed Technology Rights [Member] Existing technology Disposal Groups, Including Discontinued Operations, Name [Domain] Diluted (in dollars per share) Earnings Per Share, Diluted Net loss per share - diluted (in dollars per share) Basic (in dollars per share) Earnings Per Share, Basic Net loss per share - basic (in dollars per share) Earnings Per Share [Text Block] Net Loss per Share Earnings Per Share, Policy [Policy Text Block] Net Income per Share Net loss per share: Net Loss per Share Effect of Exchange Rate on Cash and Cash Equivalents, Continuing Operations Effect of exchange rate changes on cash and cash equivalents Effective Income Tax Rate, Continuing Operations Effective income tax rates (as a percent) Employee-related Liabilities, Current Accrued personnel expenses Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized, Period for Recognition Compensation Cost Not Yet Recognized, Future Recognition Share-based compensation expense and related tax benefit Employee Service Share-based Compensation, Allocation of Recognized Period Costs [Line Items] Employee Stock Option [Member] Stock Option Plans Stock options Employee Service Share-based Compensation, Allocation of Recognized Period Costs, Capitalized Amount Share-based compensation cost capitalized to inventory Employee Stock [Member] Employee Stock Purchase Plans Employee Service Share-based Compensation, Allocation of Recognized Period Costs, Report Line [Domain] Employee Service Share-based Compensation, Tax Benefit from Compensation Expense Income Tax benefit Tax benefit for RSUs vested during the period Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized Compensation Cost Not Yet Recognized Employee Service Share-based Compensation, Tax Benefit Realized from Exercise of Stock Options Tax 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Warranty Accrual Provision for warranties issued during the period Standard Product Warranty Accrual, Warranties Issued Settlements made during the period Standard Product Warranty Accrual, Payments Standby Letters of Credit [Member] Standby letters of credit State and Local Jurisdiction [Member] U.S. State of California Statement [Table] Scenario [Axis] Statement Statement [Line Items] CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY CONSOLIDATED STATEMENTS OF CASH FLOWS Business Segments [Axis] Equity Components [Axis] CONSOLIDATED BALANCE SHEETS CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME Geographical [Axis] Stock Issued During Period, Shares, Period Increase (Decrease) Stock Repurchase Program, Remaining Authorized Repurchase Amount Amount Remaining Shares issued for director services (in shares) Stock Issued During Period, Shares, Issued for Services Stock Repurchase Program, Number of Shares Authorized to be Repurchased Approved Share Buyback Number Shares issued for director services Stock Issued During Period, Value, Issued for Services Stock Repurchased During Period, Value Share Repurchases, Amount Stock Repurchase Program, Remaining Number of Shares Authorized to be Repurchased Number of Shares Remaining Stock Repurchased During Period, Shares Share Repurchases, Shares Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Exercised, Number (in shares) Stock Repurchase Program, Authorized Amount Approved Buyback Amount Issuance of shares up on vesting of restricted stock units Stock Issued During Period, Value, Restricted Stock Award, Net of Forfeitures Issuance of shares up on vesting of restricted stock units (in shares) Stock Issued During Period, Shares, Restricted Stock Award, Net of Forfeitures Shareholders' equity: Stockholders' Equity Attributable to Parent [Abstract] Treasury Shares Stockholders' Equity, Policy [Policy Text Block] Balance Total shareholders' equity Stockholders' Equity Attributable to Parent Balance Shareholders' Equity Shareholders' Equity Stockholders' Equity Note Disclosure [Text Block] Stockholders' Equity, Period Increase (Decrease) Subsequent Events [Text Block] Subsequent Event Subsequent Event Subsequent Event Type [Domain] Subsequent Event [Line Items] Subsequent Events Subsequent Event Type [Axis] Subsequent Event [Table] Subsequent Event [Member] Subsequent Events Balance Sheet Components Supplemental Balance Sheet Disclosures [Text Block] Supplemental Cash Flow Information [Abstract] Supplemental cash flow information: Tax Credit Carryforward, Amount Foreign tax credit carryforwards Tools, Dies and Molds [Member] Tooling Trade and Other Accounts Receivable, Policy [Policy Text Block] Allowances for Doubtful Accounts Trademarks [Member] Trademark/ trade name Unrealized trading losses included in other income (expense), net Trading Securities, Unrealized Holding Loss Trading Securities, Fair Value Disclosure Trading investments Trading Securities, Unrealized Holding Gain Unrealized trading loss included in other income (expense), net Less shares in treasury, at cost, 35,647 at June 30, 2012 and 27,173 at March 31, 2012 Treasury Stock, Value Purchase of treasury shares (in shares) Treasury Stock, Shares, Acquired Treasury, at cost, shares Treasury Stock, Shares Treasury shares Treasury Stock [Member] Purchase of treasury shares Treasury Stock, Value, Acquired, Cost Method Type of Restructuring [Domain] Unallocated Amount to Segment [Member] All other Unrecognized Tax Benefits, Income Tax Penalties and Interest Expense Interest and penalties in income tax expense Unrecognized Tax Benefits, Income Tax Penalties and Interest Accrued Accrued interest and penalties related to uncertain tax positions Unrecognized Tax Benefits, Increases Resulting from Current Period Tax Positions Increases in balances related to tax positions taken during the current period Unrecognized Tax Benefits Balance at the beginning of the period Balance at the end of the period Unrecognized Tax Benefits, Reductions Resulting from Lapse of Applicable Statute of Limitations Lapse of statue of limitations Unrecognized Tax Benefits, Decreases Resulting from Settlements with Taxing Authorities Settlements with tax authorities Unrecognized Tax Benefits, Increases Resulting from Prior Period Tax Positions Increases in balances related to tax positions taken during prior periods Unrecognized Tax Benefits, Decreases Resulting from Prior Period Tax Positions Decreases in balances related to tax positions taken during prior periods Unrecognized Tax Benefits that Would Impact Effective Tax Rate Unrecognized tax benefits that would impact effective tax rate Use of Estimates, Policy [Policy Text Block] Use of Estimates Valuation and Qualifying Accounts Disclosure [Table] Valuation Allowances and Reserves [Domain] Valuation Allowances and Reserves, Adjustments Claims and adjustments applied against allowances Valuation Allowance [Line Items] Valuation allowance Valuation Allowances and Reserves, Charged to Cost and Expense Charged (credited) to Statement of Operations Valuation Allowances and Reserves, Balance Balance at beginning of period Balance at end of period Valuation Allowance [Table] Schedule II VALUATION AND QUALIFYING ACCOUNTS Valuation and Qualifying Accounts Disclosure [Line Items] VALUATION AND QUALIFYING ACCOUNTS Valuation Allowances and Reserves Type [Axis] Shares used to compute net loss per share: Weighted Average Number of Shares Outstanding, Diluted [Abstract] Basic (in shares) Weighted Average Number of Shares Outstanding, Basic Weighted average shares - basic Basic weighted average shares outstanding Diluted (in shares) Weighted Average Number of Shares Outstanding, Diluted Weighted average shares - diluted Weighted Average Number Diluted Shares Outstanding Adjustment Effect of potentially dilutive share equivalents Write-offs Net of Recoveries Reduction during the period in the allowance for doubtful accounts for receivables written off as uncollectible, net of recoveries of amounts that were previously written off. Write-offs net of recoveries Retail Communication [Member] Retail - Communication Represents the retail communication product family. Retail Digital Music [Member] Retail - Digital Music Represents the retail digital music product family. Retail PC Speakers [Member] Retail - PC Speakers Represents the retail PC Speakers product family. Finite-Lived Intangible Assets, Amortization Expense, Remainder of Fiscal Year Future amortization expense for remaining nine months of fiscal year, 2013 Reversal of unrealized gains previously recognized in accumulated other comprehensive income Fair Value Measurement with Unobservable Inputs Reconciliation Recurring Basis Asset Reversal of Gain Previously Included in other Comprehensive Income (Loss) Amount of reversal of unrealized gain previously recognized in other comprehensive income, arising from assets measured at fair value on a recurring basis using unobservable inputs (level 3). Money Market Funds [Member] Money market funds Mutual Funds [Member] Mutual funds Represents information pertaining to the type of professionally-managed collective investment scheme that pools money from many investors to purchase securities. Schedule of Restructuring Reserve by Type of Cost [Table Text Block] Summary of restructuring related activities Employee Severance [Member] Termination Benefits Asset Impairment [Member] Asset Impairments Represents the information pertaining to the write down of fixed assets which were not placed in service due to the abandonment of the related projects. Contract Termination [Member] Contract Termination Costs Other Restructuring [Member] Other Restructuring Plan 2012 [Member] Restructuring Plan 2012 Represents information pertaining to the 2012 restructuring plan. Restructuring Cost and Reserve [Line Items] Restructuring related charges: Restructuring and Related Cost, Number of Positions Eliminated Number of non-direct-labor workforce reduced Charges Related to Reduction in Complexity and Number of Products in Entitys Product Portfolio Charges related to reduction in complexity and number of products in entity's product portfolio Represents the charges related to the reduction in complexity and number of products in the entity's product portfolio which are included in Cost of Goods Sold in the consolidated statements of income. Estimated Additional Restructuring Charges Current Fiscal Year before Tax Expected additional pre-tax restructuring charges The expected additional before tax restructuring charges within the current fiscal year, associated with the employee termination costs, contract termination costs, and other associated costs. Restructuring Reserve [Roll Forward] Restructuring reserve Restructuring Reserve Balance at beginning of period Balance at ending of period Restructuring Reserve, Settled with Cash Cash payments Restructuring Charges Related to Assets Charges against assets Represents the amount charged against assets in the period for incurred and estimated costs associated with exit from or disposal of business activities or restructurings pursuant to a duly authorized plan, excluding asset retirement obligations. Restructuring Charges Other Other Represents the amount of other charges which primarily consist of pension curtailment and settlement costs which are reflected in other charges. Restructuring Reserve, Translation Adjustment Foreign exchange Pension Curtailment and Settlement Costs Pension curtailment and settlement costs Represents the amount of pension curtailment and settlement costs which are reflected in other charges. Schedule of Restructuring and Related Costs [Table] Restructuring Plan [Axis] Restructuring Plan [Domain] Investment Type [Axis] Investment Type Categorization [Domain] Reversal of unrealized gains previously recognized in accumulated other comprehensive income Available-for-sale Securities, Change in Net Unrealized Holding Gain (Loss), Net of Tax Assets, Noncurrent [Abstract] Non-current assets: Employee Service, Share-based Compensation, Change in Deferred Tax Assets and Retained Earnings on Vesting of Stock Options Reduction in deferred tax assets and decrease to retained earnings related to vested unexercised non-qualified stock options Represents the amount of change in deferred tax assets and retained earnings related to the vesting of unexercized non-qualified stock options during the period. Share-based Compensation Arrangement by Share-based Payment Award Award, Vesting Period Terms Terms under which the premium-priced stock options grant will vest Represents the conditions under which stock options granted to each active, full-time employee of the company on record at a specific date will vest. Accrued Restructuring Costs, Current Accrued restructuring Represents the carrying value as of the balance sheet date of obligations incurred through that date and payable for the restructuring. Charges related to discontinuance of certain product development Business Exit Costs Legal, consulting and other costs Severance Costs Charges and costs were excluded from ordinary income Income Tax Reconciliation, Nondeductible Expense, Restructuring Charges Income Tax Benefit Associated with Restructuring Tax benefit associated with the restructuring Represents the amount of income tax benefit associated with restructuring charges. Reduction in deferred tax assets Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Restructuring Charges Deferred Tax Asset, Adjustment Related to Share Based Compensation Expense Represents equity impact of deferred tax asset adjustment related to share-based compensation expense during the reporting period. Deferred tax asset adjustment related to share-based compensation expense Accrued Customer Incentive Program Current Customer incentive program accruals Carrying value as of the balance sheet date of obligations incurred through that date and payable for customer incentive program. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). Collateralized debt obligations Collateralized Debt Obligations [Member] Maximum Period to Reopen the Action in Court Maximum period to reopen the action in court if settlement fails between Logitech and UEI Represents the maximum period to reopen the action in court if settlement between two parties fails. Dividends [Abstract] Dividends Proposed distribution of additional paid-in-capital Dividends Facility Closing [Member] Lease Exit Costs Allocated Share Based Compensation Expense Reduction Represents the reduction of expense recognized during the period arising from equity-based compensation arrangements (for example, shares of stock, unit, stock options or other equity instruments) with employees, directors and certain consultants qualifying for treatment as employees due to forfeitures and cancellations of awards. Share-based compensation expenese reduction due to employee termination EX-101.PRE 9 logi-20120630_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT EX-101.DEF 10 logi-20120630_def.xml XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT XML 11 R39.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details 6) (USD $)
Share data in Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Restricted Stock Units (RSUs)
Jun. 30, 2011
Restricted Stock Units (RSUs)
Mar. 31, 2012
Performance-based RSUs
Summary of time- and performance-based RSU activity, Number          
RSUs Outstanding, beginning of period, Number (in shares)     4,125 2,370  
Granted, Number (in shares)     170 714  
Vested, Number (in shares)     (60) (50)  
Cancelled or expired, Number (in shares)     (240) (155)  
RSUs Outstanding, end of period, Number (in shares)     3,995 2,879  
Summary of time- and performance-based RSU activity, Grant-Date Fair Value          
RSUs Outstanding, beginning of period, Grant-Date Fair Value (in dollars per share)     $ 13 $ 21  
Granted, Grant-Date Fair Value (in dollars per share)     $ 9 $ 13  
Vested, Grant-Date Fair Value (in dollars per share)     $ 14 $ 13  
Cancelled or expired, Grant-Date Fair Value (in dollars per share)     $ 16 $ 19  
RSUs Outstanding, end of period, Grant-Date Fair Value (in dollars per share)     $ 13 $ 20  
Total pretax intrinsic value of RSUs vested     $ 800,000 $ 700,000  
Tax benefit for RSUs vested during the period $ (1,376,000) $ (2,389,000) $ (200,000) $ (200,000)  
Assumptions applied for the fair value of performance-based RSUs using the Monte-Carlo simulation method          
Expected life         3 years
Expected volatility (as a percent)         51.00%
Risk-free interest rate (as a percent)         1.35%
XML 12 R54.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details 3) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Purchase Commitments  
Purchase commitments $ 232,168
Inventory Purchase Obligations
 
Purchase Commitments  
Purchase commitments 152,617
Operating Expenses
 
Purchase Commitments  
Purchase commitments 57,655
Capital Expenditure
 
Purchase Commitments  
Purchase commitments $ 21,896
XML 13 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Instruments (Details 4)
3 Months Ended 3 Months Ended 3 Months Ended
Jun. 30, 2012
USD ($)
Jun. 30, 2011
USD ($)
Jun. 30, 2012
Derivatives designated as hedging instruments
USD ($)
Jun. 30, 2011
Derivatives designated as hedging instruments
USD ($)
Jun. 30, 2012
Derivatives designated as hedging instruments
Cash Flow Hedges
USD ($)
Jun. 30, 2011
Derivatives designated as hedging instruments
Cash Flow Hedges
USD ($)
Jun. 30, 2012
Derivatives designated as hedging instruments
Cash Flow Hedges
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2012
Derivatives designated as hedging instruments
Cash Flow Hedges
Foreign Exchange Forward Contracts
EUR (€)
Jun. 30, 2011
Derivatives designated as hedging instruments
Cash Flow Hedges
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2011
Derivatives designated as hedging instruments
Cash Flow Hedges
Foreign Exchange Forward Contracts
EUR (€)
Jun. 30, 2012
Derivatives designated as hedging instruments
Cash Flow Hedges
Cost of goods sold
USD ($)
Jun. 30, 2011
Derivatives designated as hedging instruments
Cash Flow Hedges
Cost of goods sold
USD ($)
Jun. 30, 2012
Derivatives designated as hedging instruments
Cash Flow Hedges
Other income/ expense
USD ($)
Jun. 30, 2011
Derivatives designated as hedging instruments
Cash Flow Hedges
Other income/ expense
USD ($)
Jun. 30, 2012
Derivatives not designated as hedging instruments
USD ($)
Jun. 30, 2011
Derivatives not designated as hedging instruments
USD ($)
Jun. 30, 2012
Derivatives not designated as hedging instruments
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2011
Derivatives not designated as hedging instruments
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2012
Derivatives not designated as hedging instruments
Foreign Exchange Swap Contracts
USD ($)
Jun. 30, 2011
Derivatives not designated as hedging instruments
Foreign Exchange Swap Contracts
USD ($)
Jun. 30, 2012
Derivatives not designated as hedging instruments
Other income/ expense
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2011
Derivatives not designated as hedging instruments
Other income/ expense
Foreign Exchange Forward Contracts
USD ($)
Jun. 30, 2012
Derivatives not designated as hedging instruments
Other income/ expense
Foreign Exchange Swap Contracts
USD ($)
Jun. 30, 2011
Derivatives not designated as hedging instruments
Other income/ expense
Foreign Exchange Swap Contracts
USD ($)
Amounts of gains and losses on the derivative instruments                                                
Net amount of gain (loss) deferred as a component of accumulated other comprehensive loss $ 1,099,000 $ 682,000 $ 1,099,000 $ 682,000 $ 1,099,000 $ 682,000                                    
Amount of gain (loss) reclassified from accumulated other comprehensive loss into income (106,000) 2,478,000 (106,000) 2,478,000             (106,000) 2,478,000                        
Amount of gain (loss) recognized in income immediately                             80,000 (269,000)         (745,000) (52,000) 825,000 (217,000)
Amount of gain (loss) recognized in income immediately 132,000 (366,000) (52,000) (97,000)                 (52,000) (97,000)                    
Average maturity             4 months 4 months                 3 months              
Notional amounts of foreign exchange forward contracts outstanding             98,200,000 78,000,000 66,300,000 45,800,000                            
Notional amounts of foreign exchange swap contracts, other                                 $ 6,400,000 $ 8,900,000 $ 24,700,000 $ 14,600,000        
XML 14 R55.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details 4) (USD $)
In Millions, unless otherwise specified
1 Months Ended 3 Months Ended 3 Months Ended
Jul. 31, 2012
day
Jun. 30, 2012
Parent Guarantee Of Subsidiary Obligations
Jun. 30, 2012
Parent Guarantee Of Subsidiary Purchases
guarantee
Jun. 30, 2012
Parent guarantee of subsidiary purchases, with specified maximum
Jun. 30, 2012
Guarantee of contract manufacturers purchase obligations, with specified maximum
Jun. 30, 2012
Parent Guarantee for purchases obligation of third-party contract manufacturer
guarantee
Guarantees            
Maximum amount of the guarantees   $ 67.9   $ 7.0 $ 36.0 $ 3.7
Number of guarantees     6     3
Number of guarantees without a specified maximum exposure     2      
Guarantees outstanding   $ 15.7 $ 3.6     $ 1.7
Legal Proceedings            
Maximum period to reopen the action in court if settlement fails between Logitech and UEI 60          
XML 15 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Instruments (Details 2) (Available-for-sale securities, USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Mar. 31, 2011
Available-for-sale securities
     
Changes in the Level 3 financial assets      
Balance at the beginning of the year $ 429 $ 1,695 $ 1,695
Proceeds from sales of securities (917)    
Realized gain on sales of securities 831    
Reversal of unrealized gains previously recognized in accumulated other comprehensive income (343)    
Balance at the end of the year   $ 1,695 $ 1,695
XML 16 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Net Loss per Share (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Net Loss per Share    
Net loss $ (52,145) $ (29,606)
Weighted average shares - basic 160,733,000 179,331,000
Weighted average shares - diluted 160,733,000 179,331,000
Net loss per share - basic (in dollars per share) $ (0.32) $ (0.17)
Net loss per share - diluted (in dollars per share) $ (0.32) $ (0.17)
Anti-dilutive share equivalents excluded from the computation of diluted net income per share 18,955,767 15,939,015
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Shareholders' Equity (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
Components of accumulated other comprehensive loss    
Cumulative translation adjustment $ (73,119) $ (66,854)
Pension liability adjustments, net of tax of $752 and $752 (27,444) (29,362)
Unrealized gain on investments   343
Net deferred hedging gains (losses) 1,043 (56)
Total (99,520) (95,929)
Pension liability adjustments, tax amount $ 752 $ 752
XML 19 R25.htm IDEA: XBRL DOCUMENT v2.4.0.6
Balance Sheet Components (Tables)
3 Months Ended
Jun. 30, 2012
Balance Sheet Components  
Schedule of components of balance sheet asset

 

 

 

 

June 30, 2012

 

March 31, 2012

 

Accounts receivable:

 

 

 

 

 

Accounts receivable

 

$

361,339

 

$

376,917

 

Allowance for doubtful accounts

 

(2,321

)

(2,472

)

Allowance for returns

 

(24,995

)

(24,599

)

Allowances for cooperative marketing arrangements

 

(22,259

)

(24,109

)

Allowances for customer incentive programs

 

(36,237

)

(42,262

)

Allowances for pricing programs

 

(61,554

)

(60,371

)

 

 

$

213,973

 

$

223,104

 

Inventories:

 

 

 

 

 

Raw materials

 

$

32,129

 

$

38,613

 

Work-in-process

 

3

 

73

 

Finished goods

 

248,401

 

258,386

 

 

 

$

280,533

 

$

297,072

 

Other current assets:

 

 

 

 

 

Tax and value-added tax refund receivables

 

$

15,331

 

$

19,360

 

Deferred taxes

 

33,179

 

25,587

 

Prepaid expenses and other

 

20,857

 

21,043

 

 

 

$

69,367

 

$

65,990

 

Property, plant and equipment:

 

 

 

 

 

Plant, buildings and improvements

 

$

62,775

 

$

48,555

 

Equipment

 

151,159

 

148,059

 

Computer equipment

 

40,956

 

40,353

 

Computer software

 

77,094

 

75,758

 

 

 

331,984

 

312,725

 

Less: accumulated depreciation

 

(254,079

)

(249,657

)

 

 

77,905

 

63,068

 

Construction-in-progress

 

13,754

 

28,968

 

Land

 

2,832

 

2,848

 

 

 

$

94,491

 

$

94,884

 

Other assets:

 

 

 

 

 

Deferred taxes

 

$

55,234

 

$

61,358

 

Trading investments

 

14,172

 

14,301

 

Deposits and other

 

6,566

 

7,374

 

 

 

$

75,972

 

$

83,033

 

Schedule of components of balance sheet liability

 

 

 

 

June 30, 2012

 

March 31, 2012

 

Accrued liabilities:

 

 

 

 

 

Accrued personnel expenses

 

$

50,229

 

$

42,809

 

Accrued marketing expenses

 

7,664

 

7,097

 

Customer incentive program accruals

 

25,007

 

26,112

 

Accrued restructuring

 

26,095

 

 

Deferred revenue

 

20,339

 

19,358

 

Accrued freight and duty

 

10,168

 

11,376

 

Value-added tax payable

 

4,698

 

7,140

 

Accrued royalties

 

6,114

 

6,243

 

Warranty accrual

 

4,821

 

5,184

 

Non-retirement post-employment benefit obligations

 

4,325

 

4,129

 

Income taxes payable - current

 

4,501

 

6,047

 

Other accrued liabilities

 

49,591

 

51,185

 

 

 

$

213,552

 

$

186,680

 

Non-current liabilities:

 

 

 

 

 

Income taxes payable - non-current

 

$

134,988

 

$

137,319

 

Obligation for deferred compensation

 

14,235

 

14,393

 

Defined benefit pension plan liability

 

37,730

 

39,337

 

Deferred rent

 

20,638

 

16,042

 

Other long-term liabilities

 

12,343

 

11,371

 

 

 

$

219,934

 

$

218,462

 

Schedule of changes in the allowance for doubtful accounts

 

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Allowance for doubtful accounts, beginning of period

 

$

(2,472

)

$

(4,086

)

Bad debt expense

 

86

 

401

 

Write-offs, net of recoveries

 

65

 

(351

)

Allowance for doubtful accounts, end of period

 

$

(2,321

)

$

(4,036

)

XML 20 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Intangible Assets (Details 2) (USD $)
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Mar. 31, 2012
Other intangible assets      
Gross Carrying Amount $ 163,631,000   $ 163,984,000
Accumulated Amortization (116,594,000)   (110,466,000)
Net Carrying Amount 47,037,000   53,518,000
Amortization expense for other intangible assets 6,232,000 6,630,000  
Expected amortization expense      
Future amortization expense for remaining nine months of fiscal year, 2013 18,200,000    
Future amortization expense for fiscal year, 2014 18,200,000    
Future amortization expense for fiscal year, 2015 9,100,000    
Future amortization expense for fiscal year, 2016 1,200,000    
Future amortization expense, thereafter 300,000    
Trademark/ trade name
     
Other intangible assets      
Gross Carrying Amount 32,053,000   32,104,000
Accumulated Amortization (26,754,000)   (26,095,000)
Net Carrying Amount 5,299,000   6,009,000
Technology
     
Other intangible assets      
Gross Carrying Amount 91,732,000   91,954,000
Accumulated Amortization (66,283,000)   (62,548,000)
Net Carrying Amount 25,449,000   29,406,000
Customer contracts
     
Other intangible assets      
Gross Carrying Amount 39,846,000   39,926,000
Accumulated Amortization (23,557,000)   (21,823,000)
Net Carrying Amount $ 16,289,000   $ 18,103,000
XML 21 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Balance Sheet Components (Details) (USD $)
3 Months Ended
Jun. 30, 2011
Jun. 30, 2012
Mar. 31, 2012
Mar. 31, 2011
Accounts receivable:        
Accounts receivable   $ 361,339,000 $ 376,917,000  
Allowance for doubtful accounts (4,036,000) (2,321,000) (2,472,000) (4,086,000)
Allowance for returns   (24,995,000) (24,599,000)  
Allowance for cooperative marketing arrangements   (22,259,000) (24,109,000)  
Allowance for customer incentive programs   (36,237,000) (42,262,000)  
Allowance for pricing programs   (61,554,000) (60,371,000)  
Accounts receivable, net   213,973,000 223,104,000  
Inventories:        
Raw materials   32,129,000 38,613,000  
Work-in-process   3,000 73,000  
Finished goods   248,401,000 258,386,000  
Inventory, net   280,533,000 297,072,000  
Other current assets:        
Tax and value-added tax refund receivables   15,331,000 19,360,000  
Deferred taxes   33,179,000 25,587,000  
Prepaid expenses and other   20,857,000 21,043,000  
Other current assets, total   69,367,000 65,990,000  
Property, plant and equipment:        
Property, plant and equipment, gross   331,984,000 312,725,000  
Less: accumulated depreciation   (254,079,000) (249,657,000)  
Property, plant and equipment before non-depreciable items   77,905,000 63,068,000  
Property, plant and equipment, net   94,491,000 94,884,000  
Other assets:        
Deferred taxes   55,234,000 61,358,000  
Trading investments   14,172,000 14,301,000  
Deposits and other   6,566,000 7,374,000  
Other assets, total   75,972,000 83,033,000  
Other disclosures        
Adjustments made to inventories     8,500,000  
Valuation adjustment charged to cost of goods sold 34,074,000      
Plant, buildings and improvements
       
Property, plant and equipment:        
Property, plant and equipment, gross   62,775,000 48,555,000  
Equipment
       
Property, plant and equipment:        
Property, plant and equipment, gross   151,159,000 148,059,000  
Computer equipment
       
Property, plant and equipment:        
Property, plant and equipment, gross   40,956,000 40,353,000  
Computer software
       
Property, plant and equipment:        
Property, plant and equipment, gross   77,094,000 75,758,000  
Construction-in-progress
       
Property, plant and equipment:        
Property, plant and equipment, gross   13,754,000 28,968,000  
Land
       
Property, plant and equipment:        
Property, plant and equipment, gross   $ 2,832,000 $ 2,848,000  
XML 22 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details 4) (USD $)
In Millions, except Share data in Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Summary of stock option activity, Number    
Options outstanding, beginning of period, Number (in shares) 13,034 16,312
Granted, Number (in shares) 1,700  
Exercised, Number (in shares) (84) (74)
Cancelled or expired, Number (in shares) (439) (599)
Options outstanding, end of period, Number (in shares) 14,211 15,639
Options exercisable, end of period, Number (in shares) 10,984 11,446
Summary of stock option activity, Exercise Price    
Options outstanding, beginning of period, Exercise Price (in dollars per share) $ 19 $ 19
Granted, Exercise Price (in dollars per share) $ 14  
Exercised, Exercise Price (in dollars per share) $ 5 $ 8
Cancelled or expired, Exercise Price (in dollars per share) $ 19 $ 22
Options outstanding, end of period, Exercise Price (in dollars per share) $ 18 $ 20
Options exercisable, end of period, Exercise Price (in dollars per share) $ 19 $ 20
Pretax intrinsic value of options exercised $ 0.5 $ 0.3
Tax benefit realized for the tax deduction from options exercised 0.1 0.1
Total fair value of options vested $ 70.6 $ 74.9
XML 23 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Future minimum annual rentals under non-cancelable operating leases  
Future minimum annual rentals under non-cancelable operating leases $ 106.0
Rent expense $ 3.4
XML 24 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring (Details) (USD $)
3 Months Ended
Jun. 30, 2012
Restructuring reserve  
Charges $ 31,227,000
Restructuring Plan 2012
 
Restructuring related charges:  
Number of non-direct-labor workforce reduced 340
Charges related to discontinuance of certain product development 3,000,000
Expected additional pre-tax restructuring charges 5,000,000
Restructuring reserve  
Charges 31,227,000
Cash payments (5,195,000)
Foreign exchange 63,000
Balance at ending of period 26,095,000
Restructuring Plan 2012 | Termination Benefits
 
Restructuring reserve  
Charges 28,655,000
Cash payments (4,766,000)
Foreign exchange 63,000
Balance at ending of period 23,952,000
Restructuring Plan 2012 | Other
 
Restructuring reserve  
Charges 1,100,000
Cash payments (429,000)
Balance at ending of period 671,000
Restructuring Plan 2012 | Lease Exit Costs
 
Restructuring reserve  
Charges 1,472,000
Balance at ending of period $ 1,472,000
XML 25 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Instruments (Details 3) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
Derivative Financial Instruments    
Asset Derivatives, Fair Value $ 45 $ 658
Liability Derivatives, Fair Value 966 245
Derivatives designated as hedging instruments
   
Derivative Financial Instruments    
Asset Derivatives, Fair Value 25 250
Liability Derivatives, Fair Value 547  
Derivatives designated as hedging instruments | Cash Flow Hedges
   
Derivative Financial Instruments    
Asset Derivatives, Fair Value 25 250
Liability Derivatives, Fair Value 547  
Derivatives not designated as hedging instruments
   
Derivative Financial Instruments    
Asset Derivatives, Fair Value 20 408
Liability Derivatives, Fair Value 419 245
Derivatives not designated as hedging instruments | Foreign Exchange Forward Contracts
   
Derivative Financial Instruments    
Asset Derivatives, Fair Value 13 341
Liability Derivatives, Fair Value 122 148
Derivatives not designated as hedging instruments | Foreign Exchange Swap Contracts
   
Derivative Financial Instruments    
Asset Derivatives, Fair Value 7 67
Liability Derivatives, Fair Value $ 297 $ 97
XML 26 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies
3 Months Ended
Jun. 30, 2012
Summary of Significant Accounting Policies  
Summary of Significant Accounting Policies

Note 2 — Summary of Significant Accounting Policies

 

Basis of Presentation

 

The consolidated financial statements include the accounts of Logitech and its subsidiaries. All intercompany balances and transactions have been eliminated. The consolidated financial statements are presented in accordance with U.S. GAAP (accounting principles generally accepted in the United States of America) for interim financial information and therefore do not include all the information required by U.S. GAAP for complete financial statements. They should be read in conjunction with the Company’s audited consolidated financial statements for the fiscal year ended March 31, 2012 included in its Annual Report on Form 10-K.

 

In the quarter ended June 30, 2012, we recorded a reduction in deferred tax assets and a decrease to retained earnings of $6.3 million, related to vested unexercised non-qualified stock options for former employees who terminated in fiscal year 2012 and prior.  We reviewed this accounting error utilizing SEC Staff Accounting Bulletin No. 99, Materiality, and SEC Staff Accounting Bulletin No. 108, Effects of Prior Year Misstatements on Current Year Financial Statements, and determined the impact of the error to be immaterial to any period presented.

 

Certain prior period financial statement amounts have been reclassified to conform to the current period presentation with no impact on previously reported net income.

 

In the opinion of management, these consolidated financial statements include all adjustments, consisting of normal recurring adjustments, necessary for a fair statement of the results for the periods presented. Operating results for the three months ended June 30, 2012 are not necessarily indicative of the results that may be expected for the year ending March 31, 2013, or any future periods.

 

Fiscal Year

 

The Company’s fiscal year ends on March 31. Interim quarters are thirteen-week periods, each ending on a Friday. For purposes of presentation, the Company has indicated its quarterly periods as ending on the month end.

 

Changes in Significant Accounting Policies

 

There have been no substantial changes in our significant accounting policies during the three months ended June 30, 2012 compared with the significant accounting policies described in our Annual Report on Form 10-K for the fiscal year ended March 31, 2012.

 

Use of Estimates

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make judgments, estimates and assumptions that affect reported amounts of assets, liabilities, net sales and expenses, and the disclosure of contingent assets and liabilities. Although these estimates are based on management’s best knowledge of current events and actions that may impact the Company in the future, actual results could differ from those estimates.

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M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N M/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P M86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P M86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P M86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P M86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\ M+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S3X-"CPO M:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%\Q-3=E-C4Y95\R,V(V7S0Y-#%? M83(W9%\T9F$W935F-C@R-S<-"D-O;G1E;G0M3&]C871I;VXZ(&9I;&4Z+R\O M0SHO,34W938U.65?,C-B-E\T.30Q7V$R-V1?-&9A-V4U9C8X,C'0O:'1M;#L@ M8VAA'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\ M+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@ M("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$6UE;G1S/"]T M9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M/B@U+#$Y-2PP,#`I/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$ M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@ M("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R M(&-L87-S/3-$6UE;G1S/"]T9#X-"B`@("`@("`@/'1D(&-L M87-S/3-$;G5M/B@T+#'0^/'-P86X^/"]S<&%N M/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R M/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$ M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@ M("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$'1087)T7S$U-V4V C-3EE7S(S8C9?-#DT,5]A,C=D7S1F83=E-68V.#(W-RTM#0H` ` end XML 28 R43.htm IDEA: XBRL DOCUMENT v2.4.0.6
Balance Sheet Components (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
Accrued liabilities:    
Accrued personnel expenses $ 50,229 $ 42,809
Accrued marketing expenses 7,664 7,097
Customer incentive program accruals 25,007 26,112
Accrued restructuring 26,095  
Deferred revenue 20,339 19,358
Accrued freight and duty 10,168 11,376
Valule-added tax payable 4,698 7,140
Accrued royalties 6,114 6,243
Warranty accrual 4,821 5,184
Non-retirement post-employment benefit obligations 4,325 4,129
Income taxes payable - current 4,501 6,047
Other accrued liabilities 49,591 51,185
Accrued liabilities 213,552 186,680
Other liabilities:    
Income taxes payable - non-current 134,988 137,319
Obligation for deferred compensation 14,235 14,393
Defined benefit pension plan liability 37,730 39,337
Deferred rent 20,638 16,042
Other long-term liabilities 12,343 11,371
Long-term liabilities, total $ 219,934 $ 218,462

XML 29 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity (Tables)
3 Months Ended
Jun. 30, 2012
Shareholders' Equity  
Schedule of approved share buyback program

 

 

Date of Announcement

 

Approved
Share
Buyback
Number

 

Approved
Buyback
Amount

 

Expiration Date

 

Completion Date

 

Number of
Shares
Remaining (1)

 

Amount
Remaining

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

28,465

 

$

177,030

 

August 2013

 

 

414

 

$

4,435

 

September 2008

 

8,344

 

$

250,000

 

August 2013

 

 

 

 

 

(1)  Represents an estimate of the number of shares remaining to be repurchased, calculated based on the $4.4 million amount remaining to repurchase as of June 30, 2012 divided by the CHF 10.22 per share adjusted closing price on the SIX Swiss Exchange as of the same date, translated at the exchange rate on June 30, 2012.

Schedule of repurchased shares under share buyback program

 

 

 

 

Amounts Repurchased During Three Months ended June 30, (1)

 

Date of 

 

Program to date

 

2012

 

2011

 

Announcement

 

Shares

 

Amount

 

Shares

 

Amount

 

Shares

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

18,500

 

$

172,857

 

8,600

 

$

89,955

 

 

$

 

September 2008

 

7,609

 

73,134

 

 

 

 

 

 

 

26,109

 

$

245,991

 

8,600

 

$

89,955

 

 

$

 

 

(1)  Represents the amount in U.S. dollars, including transaction costs, calculated based on exchange rates on the repurchase dates.

Schedule of components of accumulated other comprehensive loss

 

 

 

 

June 30,
2012

 

March 31,
2012

 

 

 

 

 

 

 

Cumulative translation adjustment

 

$

(73,119

)

$

(66,854

)

Pension liability adjustments, net of tax of $752 and $752

 

(27,444

)

(29,362

)

Unrealized gain on investments

 

 

343

 

Net deferred hedging gains (losses)

 

1,043

 

(56

)

 

 

$

(99,520

)

$

(95,929

)

XML 30 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Tables)
3 Months Ended
Jun. 30, 2012
Commitments and Contingencies  
Schedule of asset retirement obligation liability

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Asset retirement obligations, beginning of period

 

$

1,918

 

$

1,636

 

Liabilities incurred

 

 

 

Liabilities settled

 

 

(17

)

Accretion expense

 

12

 

19

 

Foreign currency translation

 

71

 

32

 

Asset retirement obligations, end of period

 

$

2,001

 

$

1,670

 

Schedule Of warranty liability

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Warranty liability, beginning of period

 

$

5,184

 

$

4,970

 

Provision for warranties issued during the period

 

1,632

 

4,421

 

Settlements made during the period

 

(1,995

)

(4,758

)

Warranty liability, end of period

 

$

4,821

 

$

4,633

 

Schedule of outstanding purchase commitments

 

 

 

 

June 30, 2012

 

 

 

 

 

Inventory purchases

 

$

152,617

 

Operating expenses

 

57,655

 

Capital expenditures

 

21,896

 

Total purchase commitments

 

$

232,168

 

XML 31 R56.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity (Details)
3 Months Ended 46 Months Ended 3 Months Ended 46 Months Ended 3 Months Ended 46 Months Ended
Jun. 30, 2012
USD ($)
Jun. 30, 2012
USD ($)
Jun. 30, 2012
September 2008
USD ($)
Jun. 30, 2011
September 2008
USD ($)
Jun. 30, 2012
September 2008
USD ($)
Jun. 30, 2012
September 2008 - amended
USD ($)
Jun. 30, 2011
September 2008 - amended
USD ($)
Jun. 30, 2012
September 2008 - amended
USD ($)
Jun. 30, 2012
September 2008 - amended
CHF
Dividends                  
Proposed distribution of additional paid-in-capital $ 125,700,000                
Share Repurchases                  
Approved Share Buyback Number     8,344,000 8,344,000 8,344,000   28,465,000   28,465,000
Approved Buyback Amount     250,000,000 250,000,000   177,030,000 177,030,000    
Number of Shares Remaining                 414,000
Amount Remaining           4,435,000      
Adjusted closing price (in dollars per share)                 10.22
Share Repurchases, Shares 8,600,000 26,109,000     7,609,000 8,600,000   18,500,000  
Share Repurchases, Amount $ 89,955,000 $ 245,991,000     $ 73,134,000 $ 89,955,000   $ 172,857,000  
Shares repurchased subject to cancellation           18,500,000      
XML 32 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Balance Sheet Components (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Balance Sheet Components    
Balance at the beginning of the period $ (2,472) $ (4,086)
Bad debt expense 86 401
Write-offs net of recoveries 65 (351)
Balance at the end of the period $ (2,321) $ (4,036)
XML 33 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Tables)
3 Months Ended
Jun. 30, 2012
Segment Information  
Schedule of net sales by product family, excluding intercompany transactions

 

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011 (*)

 

 

 

 

 

 

 

Retail - Pointing Devices

 

$

115,727

 

$

121,750

 

Retail - Keyboards & Desktops

 

110,445

 

94,596

 

Retail - Audio

 

90,047

 

77,673

 

Retail - Video

 

36,880

 

49,586

 

Retail - Gaming

 

27,274

 

37,166

 

Retail - Digital Home

 

14,728

 

14,005

 

OEM

 

36,675

 

49,178

 

Peripherals

 

431,776

 

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 

(*) Certain products within the retail product families as presented in the prior year have been reclassified to conform to the current year presentation, with no impact on previously reported total net retail sales.

Schedule of net sales, operating income and depreciation and amortization for operating segments

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net sales by operating segment

 

 

 

 

 

Peripherals

 

$

431,776

 

$

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 

 

 

 

 

 

Operating loss by segment

 

 

 

 

 

Peripherals

 

$

(45,826

)

$

(26,879

)

Video Conferencing

 

(1,065

)

(1,808

)

All other

 

(12,389

)

(16,345

)

Total operating loss

 

$

(59,280

)

$

(45,032

)

 

 

 

 

 

 

Depreciation and amortization by segment

 

 

 

 

 

Peripherals

 

$

12,133

 

$

15,017

 

Video Conferencing

 

5,251

 

4,785

 

Total depreciation and amortization

 

$

17,384

 

$

19,802

 

Schedule of net sales to unaffiliated customers by geographic region

 

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Americas

 

$

203,926

 

$

226,020

 

EMEA

 

150,006

 

130,852

 

Asia Pacific

 

114,672

 

123,569

 

Total net sales

 

$

468,604

 

$

480,441

 

Schedule of long-lived assets by geographic region

 

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

 

 

 

 

Americas

 

$

50,256

 

$

49,365

 

EMEA

 

8,529

 

9,304

 

Asia Pacific

 

40,969

 

41,576

 

Total long-lived assets

 

$

99,754

 

$

100,245

 

XML 34 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring (Tables)
3 Months Ended
Jun. 30, 2012
Restructuring  
Summary of restructuring related activities

 

 

 

 

Total

 

Termination
Benefits

 

Lease Exit
Costs

 

Other

 

 

 

 

 

 

 

 

 

 

 

Balance at March 31, 2012

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Charges

 

31,227

 

28,655

 

1,472

 

1,100

 

Cash payments

 

(5,195

)

(4,766

)

 

(429

)

Foreign exchange

 

63

 

63

 

 

 

 

 

 

 

 

 

 

 

 

 

Balance at June 30, 2012

 

$

26,095

 

$

23,952

 

$

1,472

 

$

671

 

XML 35 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
The Company
3 Months Ended
Jun. 30, 2012
The Company  
The Company

Note 1 — The Company

 

Logitech is a world leader in products that connect people to the digital experiences they care about. Spanning multiple computing, communications and entertainment platforms, we develop and market innovative hardware and software products that enable or enhance digital navigation, music and video entertainment, gaming, social networking, audio and video communication over the Internet, video security and home-entertainment control. Our products for home and business PCs (personal computers) include mice, trackballs, keyboards, interactive gaming controllers, multimedia speakers, headsets and webcams. Our tablet accessories include keyboards, keyboard cases and covers, headsets, wireless speakers, earphones and stands. Our Internet communications products include webcams, headsets, video communication services, and digital video security systems. Our digital music products include speakers, earphones, custom in-ear monitors, and Squeezebox Wi-Fi music players. For home entertainment systems, we offer the Harmony line of advanced remote controls. Our gaming products include a range of gaming controllers and microphones, as well as other accessories. Our video conferencing segment offers scalable HD (high-definition) video communications endpoints, HD video conferencing systems with integrated monitors, video bridges and other infrastructure software and hardware to support large-scale video deployments, and services to support these products.

 

We sell our peripheral products to a network of distributors, retailers and OEMs (original equipment manufacturers). We sell our video conferencing products and services to distributors, value-added resellers, OEMs, and, occasionally, direct enterprise customers. The large majority of our revenues have historically been derived from sales of our peripheral products for use by consumers.

 

Logitech was founded in Switzerland in 1981, and Logitech International S.A. has been the parent holding company of Logitech since 1988. Logitech International S.A. is a Swiss holding company with its registered office in Apples, Switzerland, which conducts its business through subsidiaries in the Americas, EMEA (Europe, Middle East, Africa) and Asia Pacific. Shares of Logitech International S.A. are listed on both the Nasdaq Global Select Market, under the trading symbol LOGI, and the SIX Swiss Exchange, under the trading symbols LOGN and LOGNE.

XML 36 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Jun. 30, 2012
Mar. 31, 2012
week
Fiscal Year    
Number of weeks in each interim quarter   13
Reduction in deferred tax assets and decrease to retained earnings related to vested unexercised non-qualified stock options $ 6.3  
XML 37 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details 7) (USD $)
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Defined Contribution Plans    
Expense for defined contribution plans $ 2,800,000 $ 3,100,000
Net periodic benefit cost    
Service cost 1,875,000 1,295,000
Interest cost 494,000 505,000
Expected return on plan assets (93,000) (418,000)
Amortization of net transition obligation 1,000 1,000
Amortization of net prior service cost 38,000 39,000
Recognized net actuarial loss 416,000 100,000
Net periodic benefit cost $ 2,731,000 $ 1,522,000
XML 38 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Changes to the asset retirement obligation liability    
Asset retirement obligations, beginning of period $ 1,918 $ 1,636
Liabilities settled   (17)
Accretion expense 12 19
Foreign currency translation 71 32
Asset retirement obligations, end of period 2,001 1,670
Changes in the warranty liability:    
Warranty liability, beginning of period 5,184 4,970
Provision for warranties issued during the period 1,632 4,421
Settlements made during the period (1,995) (4,758)
Warranty liability, end of period $ 4,821 $ 4,633
Minimum
   
Product Warranties    
Warranty period 1 year  
Maximum
   
Product Warranties    
Warranty period 5 years  
XML 39 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Net sales $ 468,604 $ 480,441
Cost of goods sold 324,352 354,834
Gross profit 144,252 125,607
Operating expenses:    
Marketing and selling 100,897 99,793
Research and development 38,928 39,981
General and administrative 32,480 30,865
Restructuring charges 31,227  
Total operating expenses 203,532 170,639
Operating loss (59,280) (45,032)
Interest income, net 384 690
Other income (expense), net (159) 5,191
Loss before income taxes (59,055) (39,151)
Benefit from income taxes (6,910) (9,545)
Net loss $ (52,145) $ (29,606)
Net loss per share:    
Basic (in dollars per share) $ (0.32) $ (0.17)
Diluted (in dollars per share) $ (0.32) $ (0.17)
Shares used to compute net loss per share:    
Basic (in shares) 160,733 179,331
Diluted (in shares) 160,733 179,331
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Financial Instruments (Details) (USD $)
3 Months Ended 3 Months Ended 12 Months Ended 3 Months Ended
Jun. 30, 2012
Mar. 31, 2012
Jun. 30, 2012
Time deposits
Maximum
day
Jun. 30, 2012
Auction rate securities
security
Mar. 31, 2012
Auction rate securities
Jun. 30, 2012
Auction rate securities
Minimum
year
Jun. 30, 2012
Level 1
Mar. 31, 2012
Level 1
Jun. 30, 2012
Level 1
Money market funds
Mar. 31, 2012
Level 1
Money market funds
Jun. 30, 2012
Level 1
Mutual funds
Mar. 31, 2012
Level 1
Mutual funds
Jun. 30, 2012
Level 2
Mar. 31, 2012
Level 2
Mar. 31, 2012
Level 3
Mar. 31, 2011
Level 3
Collateralized debt obligations
Statement                                
Cash and cash equivalents             $ 360,737,000 $ 478,370,000                
Trading investments 14,172,000 14,301,000         14,172,000 14,301,000 3,542,000 3,383,000 10,630,000 10,918,000        
Available-for-sale securities         400,000                     429,000
Foreign exchange derivative assets                         45,000 658,000    
Total assets at fair value             374,909,000 492,671,000         45,000 658,000 429,000  
Foreign exchange derivative liabilities                         966,000 245,000    
Total liabilities at fair value                         966,000 245,000    
Entity's normal operating cycle period 1 year                              
Unrealized trading loss included in other income (expense), net 300,000                              
Maturity term (in years/days)     32     10                    
Number of days for reset of interest rates on auction rate securities       28 days                        
Number of auction rate securities that have been sold       2                        
Carrying value of securities sold       400,000                        
Par value of securities sold       15,200,000                        
Proceeds on sale of securities       900,000                        
Loss recorded in accumulated other comprehensive income       300,000                        
Par value of auction rate securities portfolio         $ 15,200,000                      
XML 41 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Cash flows from operating activities:    
Net loss $ (52,145) $ (29,606)
Non-cash items included in net loss:    
Depreciation 11,152 13,172
Amortization of other intangible assets 6,232 6,630
Inventory valuation adjustment   34,074
Share-based compensation expense 6,171 9,715
Gain on disposal of property and plant   (4,904)
Gain on sale of available-for-sale securities (831)  
Excess tax benefits from share-based compensation (5) (24)
Deferred income taxes and other (1,055) (13,701)
Changes in assets and liabilities:    
Accounts receivable 6,577 19,097
Inventories 11,445 (54,783)
Other assets 33 (6,015)
Accounts payable (37,408) 29,346
Accrued liabilities 42,778 743
Net cash (used in) provided by operating activities (7,056) 3,744
Cash flows from investing activities:    
Purchases of property, plant and equipment (19,621) (10,561)
Proceeds from sale of property and plant   4,904
Proceeds from sale of available-for-sale securities 917  
Purchases of trading investments (1,397) (3,545)
Proceeds from sales of trading investments 1,385 3,500
Net cash used in investing activities (18,716) (5,702)
Cash flows from financing activities:    
Purchases of treasury shares (89,955)  
Proceeds from sale of shares upon exercise of options and purchase rights 404 607
Tax withholdings related to net share settlements of restricted stock units (170) (176)
Excess tax benefits from share-based compensation 5 24
Net cash (used in) provided by financing activities (89,716) 455
Effect of exchange rate changes on cash and cash equivalents (2,145) (61)
Net decrease in cash and cash equivalents (117,633) (1,564)
Cash and cash equivalents at beginning of period 478,370 477,931
Cash and cash equivalents at end of period $ 360,737 $ 476,367
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Segment Information (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Net sales, operating loss and depreciation and amortization for the operating segments    
Total net sales $ 468,604 $ 480,441
Total operating loss (59,280) (45,032)
Total depreciation and amortization 17,384 19,802
Peripherals
   
Net sales, operating loss and depreciation and amortization for the operating segments    
Total net sales 431,776 443,954
Total operating loss (45,826) (26,879)
Total depreciation and amortization 12,133 15,017
Video conferencing
   
Net sales, operating loss and depreciation and amortization for the operating segments    
Total net sales 36,828 36,487
Total operating loss (1,065) (1,808)
Total depreciation and amortization 5,251 4,785
All other
   
Net sales, operating loss and depreciation and amortization for the operating segments    
Total operating loss $ (12,389) $ (16,345)
XML 44 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details 2) (USD $)
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Share-based compensation expense and related tax benefit    
Share-based compensation expense $ 6,171,000 $ 9,715,000
Income Tax benefit (1,376,000) (2,389,000)
Share-based compensation expense, net of income tax 4,795,000 7,326,000
Share-based compensation expenese reduction due to employee termination 1,600,000  
Share-based compensation cost capitalized to inventory 500,000 900,000
Cost of goods sold
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense 789,000 1,160,000
Share-based compensation expense included in gross profit
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense 789,000 1,160,000
Marketing and selling
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense 1,780,000 3,517,000
Research and development
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense 1,825,000 1,808,000
General and administrative
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense 1,777,000 3,230,000
Share-based compensation expense included in operating expenses
   
Share-based compensation expense and related tax benefit    
Share-based compensation expense $ 5,382,000 $ 8,555,000
XML 45 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Policies)
3 Months Ended
Jun. 30, 2012
Summary of Significant Accounting Policies  
Basis of Presentation

Basis of Presentation

 

The consolidated financial statements include the accounts of Logitech and its subsidiaries. All intercompany balances and transactions have been eliminated. The consolidated financial statements are presented in accordance with U.S. GAAP (accounting principles generally accepted in the United States of America) for interim financial information and therefore do not include all the information required by U.S. GAAP for complete financial statements. They should be read in conjunction with the Company’s audited consolidated financial statements for the fiscal year ended March 31, 2012 included in its Annual Report on Form 10-K.

 

In the quarter ended June 30, 2012, we recorded a reduction in deferred tax assets and a decrease to retained earnings of $6.3 million, related to vested unexercised non-qualified stock options for former employees who terminated in fiscal year 2012 and prior.  We reviewed this accounting error utilizing SEC Staff Accounting Bulletin No. 99, Materiality, and SEC Staff Accounting Bulletin No. 108, Effects of Prior Year Misstatements on Current Year Financial Statements, and determined the impact of the error to be immaterial to any period presented.

 

Certain prior period financial statement amounts have been reclassified to conform to the current period presentation with no impact on previously reported net income.

 

In the opinion of management, these consolidated financial statements include all adjustments, consisting of normal recurring adjustments, necessary for a fair statement of the results for the periods presented. Operating results for the three months ended June 30, 2012 are not necessarily indicative of the results that may be expected for the year ending March 31, 2013, or any future periods.

Fiscal Year

Fiscal Year

 

The Company’s fiscal year ends on March 31. Interim quarters are thirteen-week periods, each ending on a Friday. For purposes of presentation, the Company has indicated its quarterly periods as ending on the month end.

Use of Estimates

Use of Estimates

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make judgments, estimates and assumptions that affect reported amounts of assets, liabilities, net sales and expenses, and the disclosure of contingent assets and liabilities. Although these estimates are based on management’s best knowledge of current events and actions that may impact the Company in the future, actual results could differ from those estimates.

XML 46 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Employee Share Purchase Plans and Stock Incentive Plans  
Compensation Cost Not Yet Recognized $ 43,215
Stock Option Plans
 
Employee Share Purchase Plans and Stock Incentive Plans  
Compensation Cost Not Yet Recognized 7,202
Compensation Cost Not Yet Recognized, Future Recognition 17 months
Time-based RSUs
 
Employee Share Purchase Plans and Stock Incentive Plans  
Compensation Cost Not Yet Recognized 27,790
Compensation Cost Not Yet Recognized, Future Recognition 22 months
Performance-based RSUs
 
Employee Share Purchase Plans and Stock Incentive Plans  
Compensation Cost Not Yet Recognized 5,454
Compensation Cost Not Yet Recognized, Future Recognition 19 months
Premium-priced stock options
 
Employee Share Purchase Plans and Stock Incentive Plans  
Compensation Cost Not Yet Recognized $ 2,769
Compensation Cost Not Yet Recognized, Future Recognition 45 months
XML 47 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Tables)
3 Months Ended
Jun. 30, 2012
Employee Benefit Plans  
Summary of share-based compensation expense and related tax benefit recognized

 

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Cost of goods sold

 

$

789

 

$

1,160

 

Share-based compensation expense included in gross profit

 

789

 

1,160

 

Operating expenses:

 

 

 

 

 

Marketing and selling

 

1,780

 

3,517

 

Research and development

 

1,825

 

1,808

 

General and administrative

 

1,777

 

3,230

 

Share-based compensation expense included in operating expenses

 

5,382

 

8,555

 

Total share-based compensation expense

 

6,171

 

9,715

 

Income tax benefit

 

(1,376

)

(2,389

)

Share-based compensation expense, net of income tax

 

$

4,795

 

$

7,326

 

Summary of share-based compensation cost not yet recognized and the number of months over which such cost is expected to be recognized

 

 

 

 

June 30, 2012

 

 

 

Compensation
Cost Not Yet
Recognized

 

Months of
Future
Recognition

 

 

 

 

 

 

 

Non-vested stock options

 

$

7,202

 

17

 

Premium-priced stock options

 

2,769

 

45

 

Time-based RSUs

 

27,790

 

22

 

Performance-based RSUs

 

5,454

 

19

 

Total compensation cost not yet recognized

 

$

43,215

 

 

 

Summary of stock option activity

 

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Exercise
Price

 

Number

 

Exercise
Price

 

 

 

 

 

 

 

 

 

 

 

Options outstanding, beginning of period

 

13,034

 

$

19

 

16,312

 

$

19

 

Granted

 

1,700

 

14

 

 

 

Exercised

 

(84

)

5

 

(74

)

8

 

Cancelled or expired

 

(439

)

19

 

(599

)

22

 

Options outstanding, end of period

 

14,211

 

18

 

15,639

 

20

 

Options exercisable, end of period

 

10,984

 

$

19

 

11,446

 

$

20

 

Schedule of assumptions used to determine the fair value of employee stock options, premium-priced stock options and shares purchased under the employee purchase plans

 

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Dividend yield

 

0

%

0

%

0

%

n/a

 

0

%

n/a

 

Expected life

 

6 months

 

6 months

 

4 years

 

n/a

 

7 years

 

n/a

 

Expected volatility

 

64

%

33

%

46

%

n/a

 

46

%

n/a

 

Risk-free interest rate

 

0.08

%

0.17

%

1.20

%

n/a

 

2.00

%

n/a

 

Schedule of weighted average grant-date fair values of options granted and the expected forfeiture rates

 

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Weighted average grant-date fair value of options granted

 

$

2.67

 

$

4.69

 

$

8.03

 

n/a

 

$

2.52

 

n/a

 

Expected forfeitures

 

0

%

0

%

11

%

n/a

 

0

%

n/a

 

Summary of time- and performance-based RSU activity

 

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Grant
Date Fair
Value

 

Number

 

Grant
Date Fair
Value

 

 

 

 

 

 

 

 

 

 

 

RSUs outstanding, beginning of period

 

4,125

 

$

13

 

2,370

 

$

21

 

Granted

 

170

 

$

9

 

714

 

$

13

 

Vested

 

(60

)

$

14

 

(50

)

$

13

 

Cancelled or expired

 

(240

)

$

16

 

(155

)

$

19

 

RSUs outstanding, end of period

 

3,995

 

$

13

 

2,879

 

$

20

 

Schedule of assumptions applied for the fair value of performance-based RSUs using the Monte-Carlo simulation model

 

 

 

 

Q1 FY 2013
Grants

 

FY 2012
Grants

 

 

 

 

 

 

 

Dividend yield

 

n/a

 

0

%

Expected life

 

n/a

 

3 years

 

Expected volatility

 

n/a

 

51

%

Risk-free interest rate

 

n/a

 

1.35

%

Schedule of net periodic benefit cost

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Service cost

 

$

1,875

 

$

1,295

 

Interest cost

 

494

 

505

 

Expected return on plan assets

 

(93

)

(418

)

Amortization of net transition obligation

 

1

 

1

 

Amortization of net prior service cost

 

38

 

39

 

Recognized net actuarial loss

 

416

 

100

 

Net periodic benefit cost

 

$

2,731

 

$

1,522

 

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XML 49 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY (USD $)
In Thousands, unless otherwise specified
Total
Registered shares
Additional paid-in capital
Treasury shares
Retained earnings
Accumulated other comprehensive loss
Comprehensive income (loss)
Balance at Mar. 31, 2011 $ 1,205,001 $ 33,370   $ (264,019) $ 1,514,168 $ (78,518)  
Balance (in shares) at Mar. 31, 2011   191,606   12,433      
Increase (Decrease) in Shareholders' Equity              
Total comprehensive loss (28,695)       (29,606) 911 (28,695)
Tax benefit from exercise of stock options 4   4        
Sale of shares upon exercise of options and purchase rights 617   (1,580) 2,197      
Sale of shares upon exercise of options and purchase rights (in shares)       (77)      
Issuance of shares up on vesting of restricted stock units (176)   (1,060) 884      
Issuance of shares up on vesting of restricted stock units (in shares)       (30)      
Share-based compensation expense 9,588   9,588        
Balance at Jun. 30, 2011 1,186,339 33,370 6,952 (260,938) 1,484,562 (77,607)  
Balance (in shares) at Jun. 30, 2011   191,606   12,326      
Balance at Mar. 31, 2012 1,150,241 33,370   (343,829) 1,556,629 (95,929)  
Balance (in shares) at Mar. 31, 2012   191,606   27,173      
Increase (Decrease) in Shareholders' Equity              
Total comprehensive loss (55,736)       (52,145) (3,591) (55,736)
Purchase of treasury shares (89,955)     (89,955)      
Purchase of treasury shares (in shares)       8,600      
Tax benefit from exercise of stock options (500)   (500)        
Deferred tax asset adjustment related to share-based compensation expense (6,320)       (6,320)    
Sale of shares upon exercise of options and purchase rights 408   (2,289) 2,697      
Sale of shares upon exercise of options and purchase rights (in shares)       (86)      
Issuance of shares up on vesting of restricted stock units (170)   (1,423) 1,253      
Issuance of shares up on vesting of restricted stock units (in shares)       (40)      
Share-based compensation expense 5,938   5,938        
Balance at Jun. 30, 2012 $ 1,003,906 $ 33,370 $ 1,726 $ (429,834) $ 1,498,164 $ (99,520)  
Balance (in shares) at Jun. 30, 2012   191,606   35,647      
XML 50 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Net loss $ (52,145) $ (29,606)
Other comprehensive income (loss):    
Foreign currency translation (6,265) 1,330
Defined benefit pension plan adjustments during the period:    
Foreign currency exchange rate changes 1,463 (1,241)
Amortization included in net loss:    
Transition obligation for the period 1 1
Prior service cost for the period 38 39
Net loss for the period 416 100
Pension liability adjustments, net of tax 1,918 (1,101)
Deferred hedging gain 1,205 3,160
Less reclassification adjustment for gain included in net loss 106 2,478
Net deferred hedging gain 1,099 682
Reversal of unrealized gains previously recognized in accumulated other comprehensive income (343)  
Net change in accumulated other comprehensive income (loss) (3,591) 911
Total comprehensive loss $ (55,736) $ (28,695)
XML 51 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
3 Months Ended
Jun. 30, 2012
Commitments and Contingencies  
Commitments and Contingencies

Note 10 — Commitments and Contingencies

 

Operating Leases

 

The Company leases facilities under operating leases, certain of which require it to pay property taxes, insurance and maintenance costs. Operating leases for facilities are generally renewable at the Company’s option and usually include escalation clauses linked to inflation. Future minimum annual rentals under non-cancelable operating leases at June 30, 2012 amounted to $106.0 million. In the three months ended June 30, 2012, the Company recognized additional rent expense of $3.4 million, representing the fair value of future rent obligations on its former Americas headquarters, which are no longer used by the Company.

 

In connection with its leased facilities, the Company has recognized a liability for asset retirement obligations representing the present value of estimated remediation costs to be incurred at lease expiration. The following table describes changes to the Company’s asset retirement obligation liability for the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Asset retirement obligations, beginning of period

 

$

1,918

 

$

1,636

 

Liabilities incurred

 

 

 

Liabilities settled

 

 

(17

)

Accretion expense

 

12

 

19

 

Foreign currency translation

 

71

 

32

 

Asset retirement obligations, end of period

 

$

2,001

 

$

1,670

 

 

Product Warranties

 

Certain of the Company’s products are covered by warranty to be free from defects in material and workmanship for periods ranging from one year to five years. At the time of sale, the Company accrues a warranty liability for estimated costs to provide products, parts or services to repair or replace products in satisfaction of the warranty obligation. The Company’s estimate of costs to fulfill its warranty obligations is based on historical experience and expectations of future conditions. When the Company experiences changes in warranty claim activity or costs associated with fulfilling those claims, the warranty liability is adjusted accordingly. Changes in the Company’s warranty liability for the three months ended June 30, 2012 and 2011 were as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Warranty liability, beginning of period

 

$

5,184

 

$

4,970

 

Provision for warranties issued during the period

 

1,632

 

4,421

 

Settlements made during the period

 

(1,995

)

(4,758

)

Warranty liability, end of period

 

$

4,821

 

$

4,633

 

 

Purchase Commitments

 

At June 30, 2012, the Company had the following outstanding purchase commitments:

 

 

 

June 30, 2012

 

 

 

 

 

Inventory purchases

 

$

152,617

 

Operating expenses

 

57,655

 

Capital expenditures

 

21,896

 

Total purchase commitments

 

$

232,168

 

 

Commitments for inventory purchases are made in the normal course of business to original design manufacturers, contract manufacturers and other suppliers and are expected to be fulfilled by December 2012. Operating expense commitments are for consulting services, marketing arrangements, advertising, outsourced customer services, information technology maintenance and support services, and other services. Fixed purchase commitments for capital expenditures primarily related to commitments for computer hardware and leasehold improvements. Although open purchase orders are considered enforceable and legally binding, the terms generally allow the Company the option to reschedule and adjust its requirements based on the business needs prior to delivery of goods or performance of services.

 

Guarantees

 

Logitech International S.A., the parent holding company, has guaranteed payment of the purchase obligations of various subsidiaries from certain component suppliers. These guarantees generally have an unlimited term. The maximum potential future payment under the guarantee arrangements is limited to $36.0 million. At June 30, 2012, there were no purchase obligations outstanding for which the parent holding company was required to guarantee payment.

 

Logitech Europe S.A., a subsidiary of the parent holding company, has guaranteed the purchase obligations of another Logitech subsidiary and third-party contract manufacturers under threee guarantee agreements. Two of these guarantees do not specify a maximum amount. The remaining guarantee has a total limit of $7.0 million. As of June 30, 2012, $3.6 million of guaranteed purchase obligations were outstanding under these guarantees. Logitech Europe S.A. has also guaranteed payment of the purchase obligations of a third-party contract manufacturer under three guarantee agreements. The maximum amount of these guarantees was $3.7 million as of June 30, 2012. As of June 30, 2012, $1.7 million of guaranteed purchase obligations were outstanding under these agreements.

 

Logitech International S.A. and Logitech Europe S.A. have guaranteed certain contingent liabilities of various subsidiaries related to transactions occurring in the normal course of business. The maximum amount of the guarantees was $67.9 million as of June 30, 2012. As of June 30, 2012, $15.7 million of guaranteed liabilities were subject to these guarantees.

 

Indemnifications

 

Logitech indemnifies some of its suppliers and customers for losses arising from matters such as intellectual property disputes and product safety defects, subject to certain restrictions. The scope of these indemnities varies, but in some instances, includes indemnification for damages and expenses, including reasonable attorneys’ fees. No amounts have been accrued for indemnification provisions at June 30, 2012. The Company does not believe, based on historical experience and information currently available, that it is probable that any material amounts will be required to be paid under its indemnification arrangements.

 

Logitech also indemnifies its current and former directors and certain of its current and former officers. Certain costs incurred for providing such indemnification may be recoverable under various insurance policies. Logitech is unable to reasonably estimate the maximum amount that could be payable under these arrangements because these exposures are not capped, the obligations are conditional in nature, and the facts and circumstances involved in any situation that might arise are variable.

 

Legal Proceedings

 

On May 23, 2011, a class action complaint was filed against Logitech International S.A. and certain of its officers in the United States District Court for the Southern District of New York on behalf of individuals who purchased Logitech shares between October 28, 2010 and April 1, 2011. The complaint relates to Logitech’s disclosure on March 31, 2011 that its results for fiscal year 2011 would fall below expectations and seeks unspecified monetary damages and other relief against the defendants. The action was transferred to the United States District Court for the Northern District of California on July 28, 2011. The California Court appointed a lead plaintiff on October 27, 2011. The plaintiff filed an amended complaint on January 9, 2012 which expanded the alleged class period to between October 28, 2010 and September 22, 2011. On July 13, 2012, the California Court granted defendants’ motion to dismiss the amended complaint, with leave to amend.

 

On July 15, 2011, a complaint was filed against Logitech International S.A. and two of its subsidiaries in the United States District Court for the Central District of California by Universal Electronics, Inc. (UEI). On November 3, 2011, the Company filed a counter suit against UEI. On July 18, 2012, Logitech and UEI signed a nonbinding settlement and license agreement term sheet, and the District Court thereafter dismissed the suits without prejudice to the right, upon good cause shown within 60 days, to reopen the action if a settlement is not consummated.

 

In addition, from time to time the Company is involved in claims and legal proceedings which arise in the ordinary course of its business. The Company is currently subject to several such claims and a small number of legal proceedings.

 

The Company believes these lawsuits and claims lack merit and intends to vigorously defend against them. However, there can be no assurances that its defenses will be successful, or that any judgment or settlement in any of these lawsuits would not have a material adverse impact on the Company’s business, financial condition, cash flows and results of operations. The Company is presently unable to estimate the effects of these claims and legal proceedings on its results of operations, cash flows or financial position.

XML 52 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
3 Months Ended
Jun. 30, 2012
Aug. 01, 2012
Document and Entity Information    
Entity Registrant Name LOGITECH INTERNATIONAL SA  
Entity Central Index Key 0001032975  
Document Type 10-Q  
Document Period End Date Jun. 30, 2012  
Amendment Flag false  
Current Fiscal Year End Date --03-31  
Entity Current Reporting Status Yes  
Entity Filer Category Large Accelerated Filer  
Entity Common Stock, Shares Outstanding   155,995,827
Document Fiscal Year Focus 2013  
Document Fiscal Period Focus Q1  
XML 53 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity
3 Months Ended
Jun. 30, 2012
Shareholders' Equity  
Shareholders' Equity

Note 11 — Shareholders’ Equity

 

Capital Distribution

 

The Board of Directors has proposed that the Company distribute CHF 125.7 million of qualifying additional paid-in capital to shareholders out of its capital contribution reserves. If approved by shareholders, the cash is expected to be distributed in September 2012.

 

Share Repurchases

 

During the three months ended June 30, 2012 and 2011, the Company had in place the approved share buyback programs shown in the following table (in thousands, excluding transaction costs). The amended September 2008 share buyback program enables the Company to repurchase shares for cancellation.

 

Date of Announcement

 

Approved
Share
Buyback
Number

 

Approved
Buyback
Amount

 

Expiration Date

 

Completion Date

 

Number of
Shares
Remaining (1)

 

Amount
Remaining

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

28,465

 

$

177,030

 

August 2013

 

 

414

 

$

4,435

 

September 2008

 

8,344

 

$

250,000

 

August 2013

 

 

 

 

 

(1)  Represents an estimate of the number of shares remaining to be repurchased, calculated based on the $4.4 million amount remaining to repurchase as of June 30, 2012 divided by the CHF 10.22 per share adjusted closing price on the SIX Swiss Exchange as of the same date, translated at the exchange rate on June 30, 2012.

 

During the three months ended June 30, 2012 and 2011, the Company repurchased shares under these programs as follows (in thousands):

 

 

 

Amounts Repurchased During Three Months ended June 30, (1)

 

Date of 

 

Program to date

 

2012

 

2011

 

Announcement

 

Shares

 

Amount

 

Shares

 

Amount

 

Shares

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

September 2008 - amended

 

18,500

 

$

172,857

 

8,600

 

$

89,955

 

 

$

 

September 2008

 

7,609

 

73,134

 

 

 

 

 

 

 

26,109

 

$

245,991

 

8,600

 

$

89,955

 

 

$

 

 

(1)  Represents the amount in U.S. dollars, including transaction costs, calculated based on exchange rates on the repurchase dates.

 

The Company’s Board of Directors has proposed that shareholders approve, at the Company’s next Annual General Meeting of Shareholders, the cancellation of the 18.5 million shares repurchased under the September 2008 amended share buyback program.

 

Accumulated Other Comprehensive Loss

 

The components of accumulated other comprehensive loss were as follows (in thousands):

 

 

 

June 30,
2012

 

March 31,
2012

 

 

 

 

 

 

 

Cumulative translation adjustment

 

$

(73,119

)

$

(66,854

)

Pension liability adjustments, net of tax of $752 and $752

 

(27,444

)

(29,362

)

Unrealized gain on investments

 

 

343

 

Net deferred hedging gains (losses)

 

1,043

 

(56

)

 

 

$

(99,520

)

$

(95,929

)

XML 54 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
Current assets:    
Cash and cash equivalents $ 360,737 $ 478,370
Accounts receivable 213,973 223,104
Inventories 280,533 297,072
Other current assets 69,367 65,990
Total current assets 924,610 1,064,536
Non-current assets:    
Property, plant and equipment 94,491 94,884
Goodwill 558,211 560,523
Other intangible assets 47,037 53,518
Other assets 75,972 83,033
Total assets 1,700,321 1,856,494
Current liabilities:    
Accounts payable 262,929 301,111
Accrued liabilities 213,552 186,680
Total current liabilities 476,481 487,791
Non-current liabilities 219,934 218,462
Total liabilities 696,415 706,253
Commitments and contingencies      
Shareholders' equity:    
Shares, par value CHF 0.25 - 191,606 issued and authorized and 50,000 conditionally authorized at June 30, 2012 and March 31, 2012 33,370 33,370
Additional paid-in capital 1,726  
Less shares in treasury, at cost, 35,647 at June 30, 2012 and 27,173 at March 31, 2012 (429,834) (343,829)
Retained earnings 1,498,164 1,556,629
Accumulated other comprehensive loss (99,520) (95,929)
Total shareholders' equity 1,003,906 1,150,241
Total liabilities and shareholders' equity $ 1,700,321 $ 1,856,494
XML 55 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes
3 Months Ended
Jun. 30, 2012
Income Taxes  
Income Taxes

Note 5 — Income Taxes

 

The Company is incorporated in Switzerland but operates in various countries with differing tax laws and rates. Further, a portion of the Company’s income before taxes and the provision for income taxes are generated outside of Switzerland.

 

On April 25, 2012, Logitech announced a restructuring plan to simplify the Company’s organization, to better align costs with its current business, and to free up resources to pursue growth opportunities. A majority of the restructuring was completed during the three months ended June 30, 2012. In determining the annual effective tax rate, the restructuring was treated as a discrete event in the quarter as it was significantly unusual and infrequent in nature. As such, restructuring-related charges and costs were excluded from ordinary income in determining the annual effective tax rate. The tax benefit associated with the restructuring is approximately $0.2 million.

 

Tax benefits for the three months ended June 30, 2012 and 2011 were $6.9 million and $9.5 million based on effective income tax rates of 11.7% and 24.4% of pre-tax loss. The change in the effective income tax rate for the three months ended June 30, 2012 compared with the three months ended June 30, 2011 is primarily due to the mix of income and losses in the various tax jurisdictions in which the Company operates, and the treatment of restructuring expenses as a discrete event in determining the annual effective tax rate.

 

As of June 30 and March 31, 2012, the total amount of unrecognized tax benefits and related accrued interest and penalties due to uncertain tax positions was $141.0 million and $143.3 million, of which $124.0 million and $125.4 million would affect the effective income tax rate if recognized. The Company classified the unrecognized tax benefits as non-current income taxes payable.

 

The Company continues to recognize interest and penalties related to unrecognized tax positions in income tax expense. As of June 30 and March 31, 2012, the Company had approximately $7.5 million of accrued interest and penalties related to uncertain tax positions.

 

The Company files Swiss and foreign tax returns. For all these tax returns, the Company is generally not subject to tax examinations for years prior to 1999. During fiscal year 2012, the IRS (U.S. Internal Revenue Service) completed its field examinations of tax returns for the Company’s U.S. subsidiary for fiscal years 2006 and 2007, and issued NOPAs (notices of proposed adjustment) related to international tax issues for those years. The Company disagreed with the NOPAs and contested through the administrative process for the IRS claims regarding 2006 and 2007. On July 2, 2012, the IRS issued an RAR (Revenue Agent’s Report) for fiscal years 2006 and 2007 proposing revised assessments resulting from the administrative process. On July 12, 2012, the Company accepted the proposed revised assessments. The IRS is completing their RAR review process which generally takes sixty days from the time of acceptance. The proposed revised assessments will not have a material adverse effect on the Company’s consolidated operating results.

 

In addition, the IRS is in the process of examining the Company’s U.S. subsidiary for fiscal years 2008 and 2009. The Company is also under examination and has received assessment notices in other tax jurisdictions. At this time, the Company is not able to estimate the potential impact that these examinations may have on income tax expense. If the examinations are resolved unfavorably, there is a possibility they may have a material negative impact on the Company’s consolidated operating results.

 

Although the Company has adequately provided for uncertain tax positions, the provisions on these positions may change as revised estimates are made or the underlying matters are settled or otherwise resolved. It is reasonably possible that resolution of fiscal years 2006 and 2007 with the IRS will lead to a decrease of unrecognized tax benefits within the next twelve months, which may have a material positive effect on the Company’s consolidated operating results.  At this time, the Company is not able to estimate the change as of June 30, 2012.

XML 56 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans
3 Months Ended
Jun. 30, 2012
Employee Benefit Plans  
Employee Benefit Plans

Note 4 — Employee Benefit Plans

 

Employee Share Purchase Plans and Stock Incentive Plans

 

As of June 30, 2012, the Company offers the 2006 ESPP (2006 Employee Share Purchase Plan (Non-U.S.)), the 1996 ESPP (1996 Employee Share Purchase Plan (U.S.)), the 2006 Plan (2006 Stock Incentive Plan) and the 2012 Plan (2012 Stock Inducement Equity Plan). The 2012 Plan was approved by the Board of Directors in April 2012. On April 13, 2012, the Company filed Registration Statements to register 5.0 million additional shares to be issued pursuant to the 2006 ESPP, and 1.8 million shares under the 2012 Plan. Shares issued to employees as a result of purchases or exercises under these plans are generally issued from shares held in treasury.

 

The following table summarizes the share-based compensation expense and related tax benefit recognized for the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Cost of goods sold

 

$

789

 

$

1,160

 

Share-based compensation expense included in gross profit

 

789

 

1,160

 

Operating expenses:

 

 

 

 

 

Marketing and selling

 

1,780

 

3,517

 

Research and development

 

1,825

 

1,808

 

General and administrative

 

1,777

 

3,230

 

Share-based compensation expense included in operating expenses

 

5,382

 

8,555

 

Total share-based compensation expense

 

6,171

 

9,715

 

Income tax benefit

 

(1,376

)

(2,389

)

Share-based compensation expense, net of income tax

 

$

4,795

 

$

7,326

 

 

Share-based compensation expense for the quarter ended June 30, 2012 includes a reduction of $1.6 million in expense applicable to employees terminated as a result of the restructuring plan announced in April 2012. As of June 30, 2012 and 2011, $0.5 million and $0.9 million of share-based compensation cost was capitalized to inventory.

 

The following table summarizes total share-based compensation cost not yet recognized and the number of months over which such cost is expected to be recognized, on a weighted-average basis by type of grant (in thousands, except number of months):

 

 

 

June 30, 2012

 

 

 

Compensation
Cost Not Yet
Recognized

 

Months of
Future
Recognition

 

 

 

 

 

 

 

Non-vested stock options

 

$

7,202

 

17

 

Premium-priced stock options

 

2,769

 

45

 

Time-based RSUs

 

27,790

 

22

 

Performance-based RSUs

 

5,454

 

19

 

Total compensation cost not yet recognized

 

$

43,215

 

 

 

 

A summary of the Company’s stock option activity for the three months ended June 30, 2012 and 2011 is as follows (in thousands, except per share data; exercise prices are weighted averages):

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Exercise
Price

 

Number

 

Exercise
Price

 

 

 

 

 

 

 

 

 

 

 

Options outstanding, beginning of period

 

13,034

 

$

19

 

16,312

 

$

19

 

Granted

 

1,700

 

14

 

 

 

Exercised

 

(84

)

5

 

(74

)

8

 

Cancelled or expired

 

(439

)

19

 

(599

)

22

 

Options outstanding, end of period

 

14,211

 

18

 

15,639

 

20

 

Options exercisable, end of period

 

10,984

 

$

19

 

11,446

 

$

20

 

 

The total pretax intrinsic value of options exercised during the three months ended June 30, 2012 and 2011 was $0.5 million and $0.3 million and the tax benefit realized for the tax deduction from options exercised during each of those periods was $0.1 million. The total fair value of options vested as of June 30, 2012 and 2011 was $70.6 million and $74.9 million.

 

The fair value of employee stock options granted and shares purchased under the Company’s employee purchase plans was estimated using the Black-Scholes-Merton option-pricing valuation model. During the three months ended June 30, 2012, the Company also granted premium-priced stock options which will vest in full if and only when Logitech’s average closing share price, over a consecutive ninety-day trading period, meets or exceeds the exercise price of the grants. The fair value of premium-priced stock options was estimated using the Monte-Carlo simulation method. There were no stock options granted during the three months ended June 30, 2011. The table below presents the assumptions used to determine the fair value of employee stock options, premium-priced stock options and shares purchased under the employee purchase plans:

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Dividend yield

 

0

%

0

%

0

%

n/a

 

0

%

n/a

 

Expected life

 

6 months

 

6 months

 

4 years

 

n/a

 

7 years

 

n/a

 

Expected volatility

 

64

%

33

%

46

%

n/a

 

46

%

n/a

 

Risk-free interest rate

 

0.08

%

0.17

%

1.20

%

n/a

 

2.00

%

n/a

 

 

The dividend yield assumption is based on the Company’s history and future expectations of dividend payouts. The Company has not paid dividends since 1996. If approved by shareholders, the distribution of qualifying additional paid-in capital described in Note 11 is expected by management to be a one-time event. The expected option life represents the weighted-average period the stock options or purchase offerings are expected to remain outstanding. The expected life is based on historical settlement rates, which the Company believes are most representative of future exercise and post-vesting termination behaviors. Expected share price volatility is based on historical volatility using the Company’s daily closing prices over the term of past options or purchase offerings. The Company considers historical share price volatility of its shares as most representative of future volatility. The risk-free interest rate assumptions are based upon the implied yield of U.S. Treasury zero-coupon issues appropriate for the term of the Company’s stock options or purchase offerings.

 

The Company estimates option forfeitures at the time of grant and revises those estimates in subsequent periods if actual forfeitures differ from those estimates. The Company uses historical data to estimate pre-vesting option forfeitures and records share-based compensation expense only for those awards that are expected to vest.

 

The following table presents the weighted average grant-date fair values of options granted and the expected forfeiture rates. There were no stock options granted during the three months ended June 30, 2011.

 

 

 

Three Months Ended June 30,

 

 

 

2012

 

2011

 

2012

 

2011

 

2012

 

2011

 

 

 

Purchase Plans

 

Stock Option Plans

 

Premium-Priced Stock Options

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Weighted average grant-date fair value of options granted

 

$

2.67

 

$

4.69

 

$

8.03

 

n/a

 

$

2.52

 

n/a

 

Expected forfeitures

 

0

%

0

%

11

%

n/a

 

0

%

n/a

 

 

The Company has granted time-based RSUs, which vest in annual installments on the grant-date anniversary, and performance-based RSUs, which vest at the end of the performance period upon meeting certain share price performance criteria measured against market conditions. A summary of the Company’s time- and performance-based RSU activity for the three months ended June 30, 2012 and 2011 is as follows (in thousands, except per share values; grant-date fair values are weighted averages):

 

 

 

Three Months ended June 30,

 

 

 

2012

 

2011

 

 

 

Number

 

Grant
Date Fair
Value

 

Number

 

Grant
Date Fair
Value

 

 

 

 

 

 

 

 

 

 

 

RSUs outstanding, beginning of period

 

4,125

 

$

13

 

2,370

 

$

21

 

Granted

 

170

 

$

9

 

714

 

$

13

 

Vested

 

(60

)

$

14

 

(50

)

$

13

 

Cancelled or expired

 

(240

)

$

16

 

(155

)

$

19

 

RSUs outstanding, end of period

 

3,995

 

$

13

 

2,879

 

$

20

 

 

The total pretax intrinsic value (fair value) of RSUs vested during the three months ended June 30, 2012 and 2011 was $0.8 million and $0.7 million and the tax benefit realized for the tax deduction from RSUs vested during each of those periods was $0.2 million.

 

The Company determines the fair value of time-based RSUs based on the market price of the Company’s shares on the date of grant. The fair value of performance-based RSUs is estimated using the Monte-Carlo simulation method applying the following assumptions:

 

 

 

Q1 FY 2013
Grants

 

FY 2012
Grants

 

 

 

 

 

 

 

Dividend yield

 

n/a

 

0

%

Expected life

 

n/a

 

3 years

 

Expected volatility

 

n/a

 

51

%

Risk-free interest rate

 

n/a

 

1.35

%

 

The dividend yield assumption is based on the Company’s history and future expectations of dividend payouts. If approved by shareholders, the distribution of qualifying additional paid-in capital described in Note 11 is expected by management to be a one-time event. The expected life of the performance-based RSUs is the service period at the end of which the RSUs will vest if the performance conditions are satisfied. The volatility assumption is based on the actual volatility of Logitech’s daily closing share price over a look-back period equal to the years of expected life. The risk free interest rate is derived from the yield on U.S. Treasury Bonds for a term of the same number of years as the expected life.

 

Defined Contribution Plans

 

Certain of the Company’s subsidiaries have defined contribution employee benefit plans covering all or a portion of their employees. Contributions to these plans are discretionary for certain plans and are based on specified or statutory requirements for others. The charges to expense for these plans for the three months ended June 30, 2012 and 2011 were $2.8 million and $3.1 million.

 

Defined Benefit Plans

 

Certain of the Company’s subsidiaries sponsor defined benefit pension plans or non-retirement post-employment benefits covering substantially all of their employees. Benefits are provided based on employees’ years of service and earnings, or in accordance with applicable employee benefit regulations. The Company’s practice is to fund amounts sufficient to meet the requirements set forth in the applicable employee benefit and tax regulations.

 

The net periodic benefit cost for defined benefit pension plans and non-retirement post-employment benefit obligations for the three months ended June 30, 2012 and 2011 was as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Service cost

 

$

1,875

 

$

1,295

 

Interest cost

 

494

 

505

 

Expected return on plan assets

 

(93

)

(418

)

Amortization of net transition obligation

 

1

 

1

 

Amortization of net prior service cost

 

38

 

39

 

Recognized net actuarial loss

 

416

 

100

 

Net periodic benefit cost

 

$

2,731

 

$

1,522

 

XML 57 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Net Loss per Share (Tables)
3 Months Ended
Jun. 30, 2012
Net Loss per Share  
Schedule of computations of basic and diluted net loss per share

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net loss

 

$

(52,145

)

$

(29,606

)

 

 

 

 

 

 

Weighted average shares - basic

 

160,733

 

179,331

 

Effect of potentially dilutive share equivalents

 

 

 

Weighted average shares - diluted

 

160,733

 

179,331

 

 

 

 

 

 

 

Net loss per share - basic

 

$

(0.32

)

$

(0.17

)

Net loss per share - diluted

 

$

(0.32

)

$

(0.17

)

XML 58 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information
3 Months Ended
Jun. 30, 2012
Segment Information  
Segment Information

Note 12 — Segment Information

 

Net sales by product family, excluding intercompany transactions, were as follows (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011 (*)

 

 

 

 

 

 

 

Retail - Pointing Devices

 

$

115,727

 

$

121,750

 

Retail - Keyboards & Desktops

 

110,445

 

94,596

 

Retail - Audio

 

90,047

 

77,673

 

Retail - Video

 

36,880

 

49,586

 

Retail - Gaming

 

27,274

 

37,166

 

Retail - Digital Home

 

14,728

 

14,005

 

OEM

 

36,675

 

49,178

 

Peripherals

 

431,776

 

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 

(*) Certain products within the retail product families as presented in the prior year have been reclassified to conform to the current year presentation, with no impact on previously reported total net retail sales.

 

The Company has two operating segments, peripherals and video conferencing, based on product markets and internal organizational structure. The peripherals segment encompasses the design, manufacturing and marketing of peripherals for PCs (personal computers), tablets and other digital platforms. The video conferencing segment consists of the LifeSize division, and encompasses the design, manufacturing and marketing of LifeSize video conferencing products, infrastructure and services for the enterprise, public sector and other business markets. The Company’s operating segments do not record revenue on sales between segments, as such sales are not material.

 

Operating performance measures for the peripherals segment and the video conferencing segment are reported separately to Logitech’s Chief Executive Officer, who is considered to be the Company’s chief operating decision maker. These operating performance measures do not include share-based compensation expense, amortization of intangible assets, and assets by operating segment. Share-based compensation expense and amortization of intangible assets are presented in the following financial information by operating segment as “all other.” Long-lived assets are presented by geographic region. Net sales, operating loss and depreciation and amortization for the Company’s operating segments were as follows (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net sales by operating segment

 

 

 

 

 

Peripherals

 

$

431,776

 

$

443,954

 

Video Conferencing

 

36,828

 

36,487

 

Total net sales

 

$

468,604

 

$

480,441

 

 

 

 

 

 

 

Operating loss by segment

 

 

 

 

 

Peripherals

 

$

(45,826

)

$

(26,879

)

Video Conferencing

 

(1,065

)

(1,808

)

All other

 

(12,389

)

(16,345

)

Total operating loss

 

$

(59,280

)

$

(45,032

)

 

 

 

 

 

 

Depreciation and amortization by segment

 

 

 

 

 

Peripherals

 

$

12,133

 

$

15,017

 

Video Conferencing

 

5,251

 

4,785

 

Total depreciation and amortization

 

$

17,384

 

$

19,802

 

 

Geographic net sales information in the table below is based on the location of the selling entity. Long-lived assets, primarily fixed assets, are reported below based on the location of the asset.

 

Net sales to unaffiliated customers by geographic region were as follows (in thousands):

 

 

 

Three months ended

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Americas

 

$

203,926

 

$

226,020

 

EMEA

 

150,006

 

130,852

 

Asia Pacific

 

114,672

 

123,569

 

Total net sales

 

$

468,604

 

$

480,441

 

 

Sales are attributed to countries on the basis of the customers’ locations. The United States and China each represented more than 10% of the Company’s total consolidated net sales for each of the quarters ended June 30, 2012 and 2011. No other single country represented more than 10% of the Company’s total consolidated net sales for the three months ended June 30, 2012 and 2011. One customer group represented 10% of net sales in each of the quarters ended June 30, 2012 and 2011.

 

Long-lived assets by geographic region were as follows (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

 

 

 

 

Americas

 

$

50,256

 

$

49,365

 

EMEA

 

8,529

 

9,304

 

Asia Pacific

 

40,969

 

41,576

 

Total long-lived assets

 

$

99,754

 

$

100,245

 

 

Long-lived assets in China and the United States each represented more than 10% of the Company’s total consolidated long-lived assets at June 30 and March 31, 2012.

XML 59 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Intangible Assets
3 Months Ended
Jun. 30, 2012
Goodwill and Other Intangible Assets  
Goodwill and Other Intangible Assets

Note 8 — Goodwill and Other Intangible Assets

 

There were no changes in the Company’s goodwill accounts during the three months ended June 30, 2012 or 2011 attributable to activity other than fluctuations in foreign currency rates.

 

The Company evaluates the goodwill of each reporting unit for impairment at least annually as of December 31, or more frequently if events or circumstances warrant. The Company’s reporting units consist of peripherals and video conferencing. On April 25, 2012, the Company announced a restructuring plan as described in Note 13, and as a result, management performed a test to evaluate the recoverability of goodwill after implementation of the restructuring. The Company measures the recoverability of goodwill at the reporting unit level by comparing the reporting unit’s carrying amount, including goodwill, to the estimated fair value of the reporting unit. The fair value is estimated using a discounted cash flow model, which considers estimates of projected future operating results and cash flows, discounted at an estimated after-tax weighted-average cost of capital. In addition, market-based valuation techniques are used to test the reasonableness of the value indicated by the discounted cash flow model. In the market-based valuation technique, the implied premium of the aggregate fair value over the market capitalization is considered attributable to an acquisition control premium, which is the price in excess of a stock’s market price that investors would typically pay to gain control of an entity. The discounted cash flow model and the market-based valuation techniques require the exercise of significant judgment, including assumptions about appropriate discount rates, long-term growth rates for purposes of determining a terminal value at the end of the discrete forecast period, economic expectations, timing of expected future cash flows, and expectations of returns on equity that will be achieved. Such assumptions are subject to change as a result of changing economic and competitive conditions. If the carrying amount of the reporting unit exceeds its fair value, goodwill is considered impaired, and a second test is performed to measure the amount of impairment loss by allocating the reporting unit’s fair value to its assets and liabilities other than goodwill, comparing the resulting implied fair value of goodwill with its carrying amount, and recording an impairment charge for the difference.

 

As of June 30, 2012, the carrying value of goodwill attributable to its peripherals and video conferencing reporting units was $219.3 million and $338.9 million. The goodwill impairment evaluation performed by management as of June 30, 2012 indicated that the fair value of its peripherals reporting unit exceeded the carrying value of the reporting unit by more than 70% of the carrying value, and the fair value of its video conferencing reporting unit exceeded the carrying value of the reporting unit by more than 100% of the carrying value.

 

In connection with the restructuring, management also reviewed long-lived assets, such as property and equipment, and intangible assets, for recoverability by comparing the projected undiscounted net cash flows associated with those assets to their carrying values. No impairment of long-lived assets was required as a result of the review.

 

Management continues to evaluate and monitor all key factors impacting the carrying value of the Company’s recorded goodwill and long-lived assets. Further adverse changes in the Company’s expected operating results, market capitalization, business climate, or other negative events could result in a material non-cash impairment charge in the future.

 

The Company’s acquired other intangible assets subject to amortization were as follows (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

 

 

Amount

 

Amortization

 

Amount

 

Amount

 

Amortization

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Trademark/tradename

 

$

32,053

 

$

(26,754

)

$

5,299

 

$

32,104

 

$

(26,095

)

$

6,009

 

Technology

 

91,732

 

(66,283

)

25,449

 

91,954

 

(62,548

)

29,406

 

Customer contracts

 

39,846

 

(23,557

)

16,289

 

39,926

 

(21,823

)

18,103

 

 

 

$

163,631

 

$

(116,594

)

$

47,037

 

$

163,984

 

$

(110,466

)

$

53,518

 

 

For the three months ended June 30, 2012 and 2011, amortization expense for other intangible assets was $6.2 million and $6.6 million. The Company expects that amortization expense for the remaining nine months of fiscal year 2013 will be $18.2 million, and annual amortization expense for fiscal years 2014, 2015 and 2016 will be $18.2 million, $9.1 million, and $1.2 million, and $0.3 million thereafter.

XML 60 R60.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 3 Months Ended 3 Months Ended 3 Months Ended 3 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Mar. 31, 2012
Jun. 30, 2012
Consolidated net sales
Geographic Concentration
No other single country
Jun. 30, 2011
Consolidated net sales
Geographic Concentration
No other single country
Jun. 30, 2012
Consolidated net sales
Customer Concentration
Single customer group
customer
Jun. 30, 2011
Consolidated net sales
Customer Concentration
Single customer group
Jun. 30, 2012
Americas
Jun. 30, 2011
Americas
Mar. 31, 2012
Americas
Jun. 30, 2012
EMEA
Jun. 30, 2011
EMEA
Mar. 31, 2012
EMEA
Jun. 30, 2012
Asia Pacific
Jun. 30, 2011
Asia Pacific
Mar. 31, 2012
Asia Pacific
Jun. 30, 2012
United States
Consolidated net sales
Geographic Concentration
Minimum
Jun. 30, 2011
United States
Consolidated net sales
Geographic Concentration
Minimum
Jun. 30, 2012
United States
Consolidated long-lived assets
Geographic Concentration
Minimum
Mar. 31, 2012
United States
Consolidated long-lived assets
Geographic Concentration
Minimum
Jun. 30, 2012
China
Consolidated net sales
Geographic Concentration
Minimum
Jun. 30, 2011
China
Consolidated net sales
Geographic Concentration
Minimum
Jun. 30, 2012
China
Consolidated long-lived assets
Geographic Concentration
Minimum
Mar. 31, 2012
China
Consolidated long-lived assets
Geographic Concentration
Minimum
Net sales to unaffiliated customers and long-lived assets by geographic region                                                
Total net sales $ 468,604 $ 480,441           $ 203,926 $ 226,020   $ 150,006 $ 130,852   $ 114,672 $ 123,569                  
Total long-lived assets $ 99,754   $ 100,245         $ 50,256   $ 49,365 $ 8,529   $ 9,304 $ 40,969   $ 41,576                
Concentration risk                                                
Threshold not reached for reporting individual countries (as a percent)       10.00% 10.00%                                      
Number of major customer           1                                    
Percentage of benchmark derived from specified source           10.00% 10.00%                   10.00% 10.00% 10.00% 10.00% 10.00% 10.00% 10.00% 10.00%
XML 61 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Balance Sheet Components
3 Months Ended
Jun. 30, 2012
Balance Sheet Components  
Balance Sheet Components

Note 6 — Balance Sheet Components

 

The following table presents the components of certain balance sheet asset amounts as of June 30 and March 31, 2012 (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

Accounts receivable:

 

 

 

 

 

Accounts receivable

 

$

361,339

 

$

376,917

 

Allowance for doubtful accounts

 

(2,321

)

(2,472

)

Allowance for returns

 

(24,995

)

(24,599

)

Allowances for cooperative marketing arrangements

 

(22,259

)

(24,109

)

Allowances for customer incentive programs

 

(36,237

)

(42,262

)

Allowances for pricing programs

 

(61,554

)

(60,371

)

 

 

$

213,973

 

$

223,104

 

Inventories:

 

 

 

 

 

Raw materials

 

$

32,129

 

$

38,613

 

Work-in-process

 

3

 

73

 

Finished goods

 

248,401

 

258,386

 

 

 

$

280,533

 

$

297,072

 

Other current assets:

 

 

 

 

 

Tax and value-added tax refund receivables

 

$

15,331

 

$

19,360

 

Deferred taxes

 

33,179

 

25,587

 

Prepaid expenses and other

 

20,857

 

21,043

 

 

 

$

69,367

 

$

65,990

 

Property, plant and equipment:

 

 

 

 

 

Plant, buildings and improvements

 

$

62,775

 

$

48,555

 

Equipment

 

151,159

 

148,059

 

Computer equipment

 

40,956

 

40,353

 

Computer software

 

77,094

 

75,758

 

 

 

331,984

 

312,725

 

Less: accumulated depreciation

 

(254,079

)

(249,657

)

 

 

77,905

 

63,068

 

Construction-in-progress

 

13,754

 

28,968

 

Land

 

2,832

 

2,848

 

 

 

$

94,491

 

$

94,884

 

Other assets:

 

 

 

 

 

Deferred taxes

 

$

55,234

 

$

61,358

 

Trading investments

 

14,172

 

14,301

 

Deposits and other

 

6,566

 

7,374

 

 

 

$

75,972

 

$

83,033

 

 

Inventories are stated at the lower of cost or market. Inventory as of June 30, 2012 and March 31, 2012 includes an adjustment of an immaterial amount and $8.5 million to reflect the lower of cost or market on the Company’s inventory of Logitech Revue and related peripherals on hand. In the three months ended June 30, 2011, a valuation adjustment of $34.1 million was charged to cost of goods sold, as the result of management’s decision in early July 2011 to reduce the retail price of Logitech Revue.

 

The following table presents the components of certain balance sheet liability amounts as of June 30 and March 31, 2012 (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

Accrued liabilities:

 

 

 

 

 

Accrued personnel expenses

 

$

50,229

 

$

42,809

 

Accrued marketing expenses

 

7,664

 

7,097

 

Customer incentive program accruals

 

25,007

 

26,112

 

Accrued restructuring

 

26,095

 

 

Deferred revenue

 

20,339

 

19,358

 

Accrued freight and duty

 

10,168

 

11,376

 

Value-added tax payable

 

4,698

 

7,140

 

Accrued royalties

 

6,114

 

6,243

 

Warranty accrual

 

4,821

 

5,184

 

Non-retirement post-employment benefit obligations

 

4,325

 

4,129

 

Income taxes payable - current

 

4,501

 

6,047

 

Other accrued liabilities

 

49,591

 

51,185

 

 

 

$

213,552

 

$

186,680

 

Non-current liabilities:

 

 

 

 

 

Income taxes payable - non-current

 

$

134,988

 

$

137,319

 

Obligation for deferred compensation

 

14,235

 

14,393

 

Defined benefit pension plan liability

 

37,730

 

39,337

 

Deferred rent

 

20,638

 

16,042

 

Other long-term liabilities

 

12,343

 

11,371

 

 

 

$

219,934

 

$

218,462

 

 

The following table presents the changes in the allowance for doubtful accounts during the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Allowance for doubtful accounts, beginning of period

 

$

(2,472

)

$

(4,086

)

Bad debt expense

 

86

 

401

 

Write-offs, net of recoveries

 

65

 

(351

)

Allowance for doubtful accounts, end of period

 

$

(2,321

)

$

(4,036

)

XML 62 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Instruments
3 Months Ended
Jun. 30, 2012
Financial Instruments  
Financial Instruments

Note 7 — Financial Instruments

 

Fair Value Measurements

 

The Company considers fair value as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants at the measurement date. The Company utilizes the following three-level fair value hierarchy to establish the priorities of the inputs used to measure fair value:

 

·                    Level 1 — Quoted prices in active markets for identical assets or liabilities.

 

·                    Level 2 — Observable inputs other than quoted market prices included in Level 1, such as quoted prices for similar assets and liabilities in active markets; quoted prices for identical or similar assets and liabilities in markets that are not active; or other inputs that are observable or can be corroborated by observable market data.

 

·                    Level 3 — Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. This includes certain pricing models, discounted cash flow methodologies and similar techniques that use significant unobservable inputs.

 

The following table presents the Company’s financial assets and liabilities that were accounted for at fair value, except for assets related to the Company’s defined benefit pension plans, classified by the level within the fair value hierarchy (in thousands):

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Level 1

 

Level 2

 

Level 3

 

Level 1

 

Level 2

 

Level 3

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

$

360,737

 

$

 

$

 

$

478,370

 

$

 

$

 

Trading investments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Money market funds

 

3,542

 

 

 

3,383

 

 

 

Mutual funds

 

10,630

 

 

 

10,918

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

 

 

 

 

Collateralized debt obligations

 

 

 

 

 

 

429

 

Foreign exchange derivative assets

 

 

45

 

 

 

658

 

 

Total assets at fair value

 

$

374,909

 

$

45

 

$

 

$

492,671

 

$

658

 

$

429

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange derivative liabilities

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

Total liabilities at fair value

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

 

The following table presents the changes in the Company’s Level 3 financial assets during the three months ended June 30, 2012 and 2011 (in thousands):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Available-for-sale securities, beginning balance

 

$

429

 

$

1,695

 

Proceeds from sales of securities

 

(917

)

 

Realized gain on sales of securities

 

831

 

 

Reversal of unrealized gains previously recognized in accumulated other comprehensive income

 

(343

)

 

Available-for-sale securities, ending balance

 

$

 

$

1,695

 

 

Cash and Cash Equivalents

 

Cash and cash equivalents consist of bank demand deposits and time deposits. The time deposits have original maturities of less than 32 days. Cash and cash equivalents are carried at cost, which approximates fair value.

 

Investment Securities

 

The Company’s investment securities portfolio consists of marketable securities related to a deferred compensation plan and auction rate securities collateralized by residential and commercial mortgages.

 

The marketable securities related to the deferred compensation plan are classified as non-current trading investments and do not have maturity dates. Since participants in the deferred compensation plan may select the mutual funds in which their compensation deferrals are invested, and may actively trade funds within the confines of the Rabbi Trust which holds the marketable securities, the Company has designated these marketable securities as trading investments. Management has classified the investments as non-current assets because final sale of the investments or realization of proceeds by plan participants is not expected within the Company’s normal operating cycle of one year. The marketable securities are recorded at a fair value of $14.2 million and $14.3 million as of June 30 and March 31, 2012, based on quoted market prices. Quoted market prices are observable inputs that are classified as Level 1 within the fair value hierarchy. Earnings, gains and losses on trading investments are included in other income (expense), net. Unrealized trading loss of $0.3 million are included in other income (expense), net for the three months ended June 30, 2012 and relate to trading securities held at June 30, 2012.

 

The auction rate securities are classified as non-current available-for-sale securities. These securities are collateralized by residential and commercial mortgages, and are second-priority senior secured floating rate notes with maturity dates in excess of 10 years. Interest rates on these notes were intended to reset through an auction every 28 days, however auctions for these securities have failed since August 2007. During the three months ended June 30, 2012, the Company sold its remaining two auction rate securities with a total carrying value of $0.4 million and a total par value of $15.2 million for $0.9 million. This sale resulted in $0.8 million of gain recognized in other income (expense), net, $0.3 million of which resulted from the recognition of a temporary increase in fair value previously recorded in accumulated other comprehensive income. The par value and original cost of the auction rate securities held as of March 31, 2012 was $15.2 million. These securities were recorded at an estimated fair value of $0.4 million at March 31, 2012. The estimated fair value was determined by estimating future cash flows through time according to each security’s terms, including periodic consideration of overcollateralization and interest coverage tests, and incorporating estimates of default rate, loss severity, prepayment, and delinquency assumptions when available, for the underlying assets in the securities based on representative indices and various research reports. The estimated coupon and principal payments were discounted at the rate of return required by investors, based on the characteristics of each security as calculated from the indices. Such valuation methods fall within Level 3 of the fair value hierarchy.

 

Derivative Financial Instruments

 

The following table presents the fair values of the Company’s derivative instruments and their locations on its Consolidated Balance Sheets as of June 30 and March 31, 2012 (in thousands):

 

 

 

Asset Derivatives

 

Liability Derivatives

 

 

 

 

 

Fair Value

 

 

 

Fair Value

 

 

 

 

 

June 30,

 

March 31,

 

 

 

June 30,

 

March 31,

 

 

 

Location

 

2012

 

2012

 

Location

 

2012

 

2012

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

Other assets

 

$

25

 

$

250

 

Other liabilities

 

$

547

 

$

 

 

 

 

 

25

 

250

 

 

 

547

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

Other assets

 

13

 

341

 

Other liabilities

 

122

 

148

 

Foreign exchange swap contracts

 

Other assets

 

7

 

67

 

Other liabilities

 

297

 

97

 

 

 

 

 

20

 

408

 

 

 

419

 

245

 

 

 

 

 

$

45

 

$

658

 

 

 

$

966

 

$

245

 

 

The following table presents the amounts of gains and losses on the Company’s derivative instruments for the three months ended June 30, 2012 and 2011 and their locations on its Consolidated Statements of Operations (in thousands):

 

 

 

Net amount of gain/(loss)
deferred as a component of
accumulated other
comprehensive loss

 

Location of
gain/(loss)
reclassified from
accumulated other
comprehensive

 

Amount of gain/(loss)
reclassified from
accumulated other
comprehensive loss into
income

 

Location of
gain/(loss)
recognized in income

 

Amount of gain/(loss)
recognized in income
immediately

 

 

 

2012

 

2011

 

loss into income

 

2012

 

2011

 

immediately

 

2012

 

2011

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

$

1,099

 

$

682

 

Cost of goods sold

 

$

106

 

$

2,478

 

Other income/expense

 

$

52

 

$

(97

)

 

 

1,099

 

682

 

 

 

106

 

2,478

 

 

 

52

 

(97

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

 

 

 

 

 

 

Other income/expense

 

(745

)

(52

)

Foreign exchange swap contracts

 

 

 

 

 

 

 

Other income/expense

 

825

 

(217

)

 

 

 

 

 

 

 

 

 

 

80

 

(269

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

$

1,099

 

$

682

 

 

 

$

106

 

$

2,478

 

 

 

$

132

 

$

(366

)

 

Cash Flow Hedges

 

The Company enters into foreign exchange forward contracts to hedge against exposure to changes in foreign currency exchange rates related to its subsidiaries’ forecasted inventory purchases. The primary risk managed by using derivative instruments is the foreign currency exchange rate risk. The Company has designated these derivatives as cash flow hedges. Logitech does not use derivative financial instruments for trading or speculative purposes. These hedging contracts mature within four months, and are denominated in the same currency as the underlying transactions. Gains and losses in the fair value of the effective portion of the hedges are deferred as a component of accumulated other comprehensive loss until the hedged inventory purchases are sold, at which time the gains or losses are reclassified to cost of goods sold. The Company assesses the effectiveness of the hedges by comparing changes in the spot rate of the currency underlying the forward contract with changes in the spot rate of the currency in which the forecasted transaction will be consummated. If the underlying transaction being hedged fails to occur or if a portion of the hedge does not generate offsetting changes in the foreign currency exposure of forecasted inventory purchases, the Company immediately recognizes the gain or loss on the associated financial instrument in other income (expense). Such gains and losses were immaterial during the three months ended June 30, 2012 and 2011. Cash flows from such hedges are classified as operating activities in the consolidated statements of cash flows. The notional amounts of foreign exchange forward contracts outstanding related to forecasted inventory purchases were $98.2 million (€78.0 million) and $66.3 million (€45.8 million) at June 30, 2012 and 2011. The notional amount represents the future cash flows under contracts to purchase foreign currencies.

 

Other Derivatives

 

The Company also enters into foreign exchange forward contracts to reduce the short-term effects of foreign currency fluctuations on certain foreign currency receivables or payables. These forward contracts generally mature within three months. The Company may also enter into foreign exchange swap contracts to economically extend the terms of its foreign exchange forward contracts. The primary risk managed by using forward and swap contracts is the foreign currency exchange rate risk. The gains or losses on foreign exchange forward contracts are recognized in earnings based on the changes in fair value.

 

The notional amounts of foreign exchange forward contracts outstanding at June 30, 2012 and 2011 relating to foreign currency receivables or payables were $6.4 million and $8.9 million. Open forward contracts as of June 30, 2012 consisted of contracts in euros to sell British pounds and contracts in Australian dollars to purchase U.S. dollars at future dates at pre-determined exchange rates. Open forward contracts as of June 30, 2011 consisted of contracts in British pounds to purchase euros at a future date at a predetermined exchange rate. The notional amounts of foreign exchange swap contracts outstanding at June 30, 2012 and 2011 were $24.7 million and $14.6 million. Swap contracts outstanding at June 30, 2012 consisted of contracts in Taiwanese dollars, Mexican pesos and Japanese yen. Swap contracts outstanding at June 30, 2011 consisted of contracts in Mexican pesos and Japanese yen.

 

The fair value of all our foreign exchange forward contracts and foreign exchange swap contracts is determined based on observable market transactions of spot currency rates and forward rates. Cash flows from these contracts are classified as operating activities in the consolidated statements of cash flows.

XML 63 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financing Arrangements
3 Months Ended
Jun. 30, 2012
Financing Arrangements  
Financing Arrangements

Note 9 — Financing Arrangements

 

In December 2011, the Company entered into a Senior Revolving Credit Facility Agreement with a group of primarily Swiss banks that provides for a revolving multicurrency unsecured credit facility in an amount of up to $250.0 million. The Company may, upon notice to the lenders and subject to certain requirements, arrange with existing or new lenders to provide up to an aggregate of $150.0 million in additional commitments, for a total of $400.0 million of unsecured revolving credit. The credit facility may be used for working capital, general corporate purposes, and acquisitions. There were no outstanding borrowings under the credit facility at June 30, 2012.

 

The credit facility matures on October 31, 2016. The Company may prepay the loans under the credit facility in whole or in part at any time without premium or penalty. Borrowings under the credit facility will accrue interest at a per annum rate based on LIBOR (London Interbank Offered Rate), or EURIBOR (Euro Interbank Offered Rate) in the case of loans denominated in euros, plus a variable margin determined quarterly based on the ratio of senior debt-to-earnings before interest, taxes, depreciation and amortization for the preceding four-quarter period, plus, if applicable, an additional rate per annum intended to compensate the lenders for the cost of compliance with regulatory reserve requirements and other banking regulations. The Company also pays a quarterly commitment fee of 40% of the applicable margin on the available commitment. In connection with entering into the credit facility, the Company incurred non-recurring fees totaling $1.5 million, which are amortized on a straight-line basis over the term of the credit facility.

 

The facility agreement contains representations, covenants, including threshold financial covenants, and events of default customary in Swiss credit markets. Affirmative covenants include covenants regarding reporting requirements, maintenance of insurance, maintenance of properties and compliance with applicable laws and regulations, and financial covenants that require the maintenance of net senior debt, interest cover and adjusted equity ratios determined in accordance with the terms of the facility. Negative covenants limit the ability of the Company and its subsidiaries, among other things, to grant liens, make investments, incur debt, make restricted payments, enter into a merger or acquisition, or sell, transfer or dispose of assets, in each case subject to certain exceptions. As of June 30, 2012, the Company was in compliance with all covenants and conditions.

 

Upon an uncured event of default under the facility, the lenders may declare all or a portion of the outstanding obligations payable by the Company to be immediately due and payable, terminate their commitments and exercise other rights and remedies provided for under the facility. The events of default under the facility include, among other things, payment defaults, covenant defaults, inaccuracy of representations and warranties, cross defaults with certain other indebtedness, bankruptcy and insolvency events and events that have a material adverse effect (as defined in the facility). Upon a change of control of the Company, lenders whose commitments aggregate more than two-thirds of the total commitments under the facility may terminate the commitments and declare all outstanding obligations to be due and payable.

 

The Company had several uncommitted, unsecured bank lines of credit aggregating $43.9 million at June 30, 2012. There are no financial covenants under these lines of credit with which the Company must comply. At June 30, 2012, the Company had no outstanding borrowings under these lines of credit. The Company also had credit lines related to corporate credit cards totaling $29.9 million as of June 30, 2012. The outstanding borrowings under these credit lines are recorded in other current liabilities. There are no financial covenants under these credit lines.

XML 64 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Employee Benefit Plans (Details)
In Millions, unless otherwise specified
1 Months Ended
Apr. 30, 2012
2006 Employee Share Purchase Plan (Non-U.S.)
 
Employee Share Purchase Plans and Stock Incentive Plans  
Number of additional shares to be issued 5.0
2012 Stock Inducement Equity Plan
 
Employee Share Purchase Plans and Stock Incentive Plans  
Number of shares authorized 1.8
XML 65 R51.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financing Arrangements (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Jun. 30, 2012
Senior Revolving Credit Facility Agreement
 
Financing Arrangements  
Maximum borrowing capacity $ 250.0
Optional expansion, maximum borrowing capacity 150.0
Increased maximum borrowing capacity 400.0
Commitment fee as percentage of the variable margin 40.00%
Non-recurring commitment and legal fees 1.5
Unsecured bank lines of credit
 
Financing Arrangements  
Maximum borrowing capacity 43.9
Credit lines related to corporate credit cards
 
Financing Arrangements  
Maximum borrowing capacity $ 29.9
XML 66 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Event
3 Months Ended
Jun. 30, 2012
Subsequent Event  
Subsequent Event

Note 14 — Subsequent Event

 

Subsequent to June 30, 2012, the Company discontinued sales of a product which it determined carried an inaccurate regulatory label, and plans to withdraw the product from its customers and either re-label or replace the product.  The Company evaluated whether this matter resulted in a probable and estimable loss, and concluded that there was no significant loss that should have been recorded in the quarter ended June 30, 2012. In addition, the Company does not currently expect a material impact from this issue on future results of operations or cash flows.

XML 67 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Instruments (Tables)
3 Months Ended
Jun. 30, 2012
Financial Instruments  
Schedule of financial assets and liabilities accounted for at fair value and classified by level within the fair value hierarchy

 

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Level 1

 

Level 2

 

Level 3

 

Level 1

 

Level 2

 

Level 3

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

$

360,737

 

$

 

$

 

$

478,370

 

$

 

$

 

Trading investments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Money market funds

 

3,542

 

 

 

3,383

 

 

 

Mutual funds

 

10,630

 

 

 

10,918

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

 

 

 

 

Collateralized debt obligations

 

 

 

 

 

 

429

 

Foreign exchange derivative assets

 

 

45

 

 

 

658

 

 

Total assets at fair value

 

$

374,909

 

$

45

 

$

 

$

492,671

 

$

658

 

$

429

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange derivative liabilities

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

Total liabilities at fair value

 

$

 

$

966

 

$

 

$

 

$

245

 

$

 

Schedule of changes in the entity's Level 3 financial assets

 

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Available-for-sale securities, beginning balance

 

$

429

 

$

1,695

 

Proceeds from sales of securities

 

(917

)

 

Realized gain on sales of securities

 

831

 

 

Reversal of unrealized gains previously recognized in accumulated other comprehensive income

 

(343

)

 

Available-for-sale securities, ending balance

 

$

 

$

1,695

 

Schedule of fair values of derivative instruments and their locations on the balance sheet

 

 

 

 

Asset Derivatives

 

Liability Derivatives

 

 

 

 

 

Fair Value

 

 

 

Fair Value

 

 

 

 

 

June 30,

 

March 31,

 

 

 

June 30,

 

March 31,

 

 

 

Location

 

2012

 

2012

 

Location

 

2012

 

2012

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

Other assets

 

$

25

 

$

250

 

Other liabilities

 

$

547

 

$

 

 

 

 

 

25

 

250

 

 

 

547

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

Other assets

 

13

 

341

 

Other liabilities

 

122

 

148

 

Foreign exchange swap contracts

 

Other assets

 

7

 

67

 

Other liabilities

 

297

 

97

 

 

 

 

 

20

 

408

 

 

 

419

 

245

 

 

 

 

 

$

45

 

$

658

 

 

 

$

966

 

$

245

 

Schedule of amounts of gains and losses on derivative instruments

 

 

 

 

Net amount of gain/(loss)
deferred as a component of
accumulated other
comprehensive loss

 

Location of
gain/(loss)
reclassified from
accumulated other
comprehensive

 

Amount of gain/(loss)
reclassified from
accumulated other
comprehensive loss into
income

 

Location of
gain/(loss)
recognized in income

 

Amount of gain/(loss)
recognized in income
immediately

 

 

 

2012

 

2011

 

loss into income

 

2012

 

2011

 

immediately

 

2012

 

2011

 

Derivatives designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash flow hedges

 

$

1,099

 

$

682

 

Cost of goods sold

 

$

106

 

$

2,478

 

Other income/expense

 

$

52

 

$

(97

)

 

 

1,099

 

682

 

 

 

106

 

2,478

 

 

 

52

 

(97

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Derivatives not designated as hedging instruments:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Foreign exchange forward contracts

 

 

 

 

 

 

 

Other income/expense

 

(745

)

(52

)

Foreign exchange swap contracts

 

 

 

 

 

 

 

Other income/expense

 

825

 

(217

)

 

 

 

 

 

 

 

 

 

 

80

 

(269

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

$

1,099

 

$

682

 

 

 

$

106

 

$

2,478

 

 

 

$

132

 

$

(366

)

XML 68 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Intangible Assets (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
Goodwill    
Goodwill $ 558,211 $ 560,523
Peripherals
   
Goodwill    
Goodwill 219,300  
Minimum percentage of carrying value by which the fair value of each reporting unit exceeded the carrying value 70.00%  
Video conferencing
   
Goodwill    
Goodwill $ 338,900  
Minimum percentage of carrying value by which the fair value of each reporting unit exceeded the carrying value 100.00%  
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Income Taxes (Details) (USD $)
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Mar. 31, 2012
Income Taxes      
Restructuring charges $ 31,227,000    
Tax benefit associated with the restructuring 200,000    
Income tax provision (benefit) (6,910,000) (9,545,000)  
Effective income tax rates (as a percent) 11.70% 24.40%  
Unrecognized tax benefits and related accrued interest and penalties 141,000,000   143,300,000
Unrecognized tax benefits that would impact effective tax rate 124,000,000   125,400,000
Accrued interest and penalties related to uncertain tax positions $ 7,500,000   $ 7,500,000
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CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Jun. 30, 2012
Mar. 31, 2012
CONSOLIDATED BALANCE SHEETS    
Shares, par value (in CHF per share) $ 0.25 $ 0.25
Shares, issued 191,606 191,606
Shares, authorized 191,606 191,606
Shares, conditionally authorized 50,000 50,000
Treasury, at cost, shares 35,647 27,173
XML 71 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Net Loss per Share
3 Months Ended
Jun. 30, 2012
Net Loss per Share  
Net Loss per Share

Note 3 — Net Loss per Share

 

The computations of basic and diluted net loss per share for the Company were as follows (in thousands except per share amounts):

 

 

 

Three months ended June 30,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Net loss

 

$

(52,145

)

$

(29,606

)

 

 

 

 

 

 

Weighted average shares - basic

 

160,733

 

179,331

 

Effect of potentially dilutive share equivalents

 

 

 

Weighted average shares - diluted

 

160,733

 

179,331

 

 

 

 

 

 

 

Net loss per share - basic

 

$

(0.32

)

$

(0.17

)

Net loss per share - diluted

 

$

(0.32

)

$

(0.17

)

 

Employee stock options, restricted stock units and similar share-based compensation awards granted by the Company are treated as potential shares in computing diluted net income per share. Diluted shares outstanding include the dilutive effect of in-the-money share-based awards which is calculated based on the average share price for each fiscal period using the treasury stock method. Under the treasury stock method, the amount that the employee must pay for exercising share-based awards, the amount of compensation cost for future service that the Company has not yet recognized, and the amount of tax impact that would be recorded in additional paid-in capital when the award becomes deductible are assumed to be used to repurchase shares.

 

Share equivalents attributable to outstanding stock options and RSUs (restricted stock units) of 18,955,767 and 15,939,015 for the three months ended June 30, 2012 and 2011 were excluded from the calculation of diluted net loss per share because their inclusion would have been anti-dilutive.

XML 72 R58.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2012
segment
Jun. 30, 2011
Net sales by product family, excluding intercompany transactions    
Total net sales $ 468,604 $ 480,441
Number of operating segments 2  
Peripherals
   
Net sales by product family, excluding intercompany transactions    
Total net sales 431,776 443,954
Retail - Pointing Devices
   
Net sales by product family, excluding intercompany transactions    
Total net sales 115,727 121,750
Retail - Keyboards & Desktops
   
Net sales by product family, excluding intercompany transactions    
Total net sales 110,445 94,596
Retail - Audio
   
Net sales by product family, excluding intercompany transactions    
Total net sales 90,047 77,673
Retail - Video
   
Net sales by product family, excluding intercompany transactions    
Total net sales 36,880 49,586
Retail - Gaming
   
Net sales by product family, excluding intercompany transactions    
Total net sales 27,274 37,166
Retail - Digital Home
   
Net sales by product family, excluding intercompany transactions    
Total net sales 14,728 14,005
OEM
   
Net sales by product family, excluding intercompany transactions    
Total net sales 36,675 49,178
Video Conferencing
   
Net sales by product family, excluding intercompany transactions    
Total net sales $ 36,828 $ 36,487
XML 73 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Intangible Assets (Tables)
3 Months Ended
Jun. 30, 2012
Goodwill and Other Intangible Assets  
Schedule of other intangible assets

 

 

 

 

June 30, 2012

 

March 31, 2012

 

 

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

Gross Carrying

 

Accumulated

 

Net Carrying

 

 

 

Amount

 

Amortization

 

Amount

 

Amount

 

Amortization

 

Amount

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Trademark/tradename

 

$

32,053

 

$

(26,754

)

$

5,299

 

$

32,104

 

$

(26,095

)

$

6,009

 

Technology

 

91,732

 

(66,283

)

25,449

 

91,954

 

(62,548

)

29,406

 

Customer contracts

 

39,846

 

(23,557

)

16,289

 

39,926

 

(21,823

)

18,103

 

 

 

$

163,631

 

$

(116,594

)

$

47,037

 

$

163,984

 

$

(110,466

)

$

53,518

 

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Employee Benefit Plans (Details 5) (USD $)
3 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Employee Stock Purchase Plans
   
Valuation Assumptions and Values    
Dividend yield (as a percent) 0.00% 0.00%
Expected life 6 months 6 months
Expected volatility (as a percent) 64.00% 33.00%
Risk-free interest rate (as a percent) 0.08% 0.17%
Weighted average grant-date fair value of options granted (in dollars per share) $ 2.67 $ 4.69
Expected forfeitures (as a percent) 0.00% 0.00%
Stock Option Plans
   
Valuation Assumptions and Values    
Dividend yield (as a percent) 0.00%  
Expected life 4 years  
Expected volatility (as a percent) 46.00%  
Risk-free interest rate (as a percent) 1.20%  
Weighted average grant-date fair value of options granted (in dollars per share) $ 8.03  
Expected forfeitures (as a percent) 11.00%  
Premium-priced stock options
   
Valuation Assumptions and Values    
Terms under which the premium-priced stock options grant will vest 90 days  
Dividend yield (as a percent) 0.00%  
Expected life 7 years  
Expected volatility (as a percent) 46.00%  
Risk-free interest rate (as a percent) 2.00%  
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Expected forfeitures (as a percent) 0.00%  
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Restructuring
3 Months Ended
Jun. 30, 2012
Restructuring  
Restructuring

Note 13 — Restructuring

 

On April 25, 2012, Logitech announced a restructuring plan to simplify the Company’s organization, to better align costs with its current business, and to free up resources to pursue growth opportunities. A majority of the restructuring activity was completed during the three months ended June 30, 2012. As part of this restructuring plan, the Company reduced its worldwide non-direct-labor workforce by approximately 340 employees. Charges and other costs related to the workforce reduction are presented as restructuring charges in the consolidated statements of operations. Charges of approximately $3.0 million related to discontinuance of certain product development efforts are included in cost of goods sold in the consolidated statements of operations. The Company estimates completing the restructuring plan during the current fiscal year, and incurring additional pre-tax restructuring charges related to employee termination costs, lease exit costs, and other associated costs of less than $5 million during the remaining nine months of fiscal year 2013.

 

The following table summarizes restructuring related activities during the three months ended June 30, 2012 (in thousands):

 

 

 

Total

 

Termination
Benefits

 

Lease Exit
Costs

 

Other

 

 

 

 

 

 

 

 

 

 

 

Balance at March 31, 2012

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Charges

 

31,227

 

28,655

 

1,472

 

1,100

 

Cash payments

 

(5,195

)

(4,766

)

 

(429

)

Foreign exchange

 

63

 

63

 

 

 

 

 

 

 

 

 

 

 

 

 

Balance at June 30, 2012

 

$

26,095

 

$

23,952

 

$

1,472

 

$

671

 

 

Termination benefits were calculated based on regional benefit practices and local statutory requirements. Lease exit costs primarily relate to costs associated with the closure of existing facilities. Other charges primarily consist of legal, consulting and other costs related to employee terminations.