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RESTRUCTURING (Tables)
3 Months Ended
Jul. 03, 2021
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the activity for restructuring reserves related to the 2020 Program and prior programs for the three months ended July 3, 2021, substantially all of which relates to employee severance and other employee costs:
(In thousands)2020 ProgramPrior ProgramsTotal
Balance at April 3, 2021$575 $437 $1,012 
Costs incurred, net of reversals3,391 29 3,420 
Payments(63)— (63)
Non-cash adjustments— 11 11 
Balance at July 3, 2021$3,903 $477 $4,380 
Schedule of Restructuring and Related Costs
The following presents the restructuring costs by line item within our accompanying unaudited Condensed Consolidated Statements of (Loss) Income and Comprehensive (Loss) Income:
 Three Months Ended
(In thousands) July 3,
2021
June 27,
2020
Cost of goods sold$2,253 $503 
Research and development105 319 
Selling, general and administrative expenses1,062 243 
$3,420 $1,065 
Restructuring costsThree Months Ended
(In thousands) July 3, 2021June 27, 2020
Plasma$2,288 $568 
Blood Center154 
Hospital(38)129 
Corporate1,167 214 
Total$3,420 $1,065 
Restructuring related costsThree Months Ended
(In thousands) July 3, 2021June 27, 2020
Plasma$1,738 $— 
Blood Center490 16 
Hospital133 
Corporate4,274 2,910 
Total$6,635 $2,935 
Total restructuring and restructuring related costs$10,055 $4,000