0001140361-14-008308.txt : 20140218 0001140361-14-008308.hdr.sgml : 20140217 20140218163300 ACCESSION NUMBER: 0001140361-14-008308 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20140125 FILED AS OF DATE: 20140218 DATE AS OF CHANGE: 20140218 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LA-Z-BOY INC CENTRAL INDEX KEY: 0000057131 STANDARD INDUSTRIAL CLASSIFICATION: HOUSEHOLD FURNITURE [2510] IRS NUMBER: 380751137 STATE OF INCORPORATION: MI FISCAL YEAR END: 0425 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-09656 FILM NUMBER: 14622583 BUSINESS ADDRESS: STREET 1: 1284 N TELEGRAPH RD CITY: MONROE STATE: MI ZIP: 48162 BUSINESS PHONE: 7342421444 MAIL ADDRESS: STREET 1: 1284 N TELEGRAPH RD CITY: MONROE STATE: MI ZIP: 48162 FORMER COMPANY: FORMER CONFORMED NAME: LA Z BOY CHAIR CO DATE OF NAME CHANGE: 19920703 10-Q 1 form10q.htm LA-Z-BOY INCORPORATED 10-Q 1-25-2014

 
 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549-1004
FORM 10-Q
 
Quarterly Report Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934
FOR QUARTERLY PERIOD ENDED JANUARY 25, 2014
COMMISSION FILE NUMBER 1-9656

LA-Z-BOY INCORPORATED

 
(Exact name of registrant as specified in its charter)

MICHIGAN
 
38-0751137
(State or other jurisdiction of incorporation or organization)
 
(I.R.S. Employer Identification No.)
 
 
 
1284 North Telegraph Road, Monroe, Michigan
 
48162-3390
(Address of principal executive offices)
 
(Zip Code)

Registrant's telephone number, including area code (734) 242-1444

None

(Former name, former address and former fiscal year, if changed since last report.)
 
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 þ                                                  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 (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the Registrant was required to submit and post such files).
 
Yes þ                                                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     þ
Accelerated filer o
Non-accelerated filer o
Smaller reporting company o
 
Indicate by check mark whether the Registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).
 
Yes o                                                  No þ
 
The number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date:
 
Class
 
Outstanding at February 11, 2014
Common Shares, $1.00 par value
 
52,338,032


LA-Z-BOY INCORPORATED
FORM 10-Q THIRD QUARTER OF FISCAL 2014
 
TABLE OF CONTENTS
 
Page
Number(s)
PART I   Financial Information (Unaudited)
 
 
Item 1.
3
 
 
3
 
 
5
 
 
6
 
 
7
 
 
8
 
 
9
 
 
9
 
 
9
 
 
10
 
 
10
 
 
11
 
 
12
 
 
12
 
 
12
 
 
16
 
 
16
 
 
17
 
 
18
 
 
18
 
 
20
 
 
 
 
 
Item 2.
21
 
 
21
 
 
22
 
 
23
 
 
31
 
 
33
 
 
 
 
 
 
33
 
 
 
 
Item 3.
33
 
Item 4.
33
 
 
 
 
PART II   Other Information
 
 
Item 1A.
34
 
Item 2.
34
 
Item 6.
35
 
 
 
 
 
36

PART I – FINANCIAL INFORMATION (UNAUDITED)

ITEM 1. FINANCIAL STATEMENTS
 
LA-Z-BOY INCORPORATED
CONSOLIDATED STATEMENT OF INCOME
 
 
 
Third Quarter Ended
 
(Unaudited, amounts in thousands, except per share data)
 
1/25/14
   
1/26/13
 
Sales
 
$
350,375
   
$
340,211
 
Cost of sales
   
228,186
     
227,956
 
Gross profit
   
122,189
     
112,255
 
Selling, general and administrative expense
   
96,740
     
89,443
 
Operating income
   
25,449
     
22,812
 
Interest expense
   
142
     
148
 
Interest income
   
183
     
198
 
Other income (expense), net
   
849
     
2,401
 
Income from continuing operations before income taxes
   
26,339
     
25,263
 
Income tax expense
   
8,751
     
8,391
 
Income from continuing operations
   
17,588
     
16,872
 
Income (loss) from discontinued operations, net of tax
   
(717
)
   
291
 
Net income
   
16,871
     
17,163
 
Net income attributable to noncontrolling interests
   
(388
)
   
(99
)
Net income attributable to La-Z-Boy Incorporated
 
$
16,483
   
$
17,064
 
 
               
Net income attributable to La-Z-Boy Incorporated:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
17,200
   
$
16,773
 
Income (loss) from discontinued operations
   
(717
)
   
291
 
Net income attributable to La-Z-Boy Incorporated
 
$
16,483
   
$
17,064
 
 
               
Basic average shares
   
52,516
     
52,431
 
Basic net income attributable to La-Z-Boy Incorporated per share:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
0.33
   
$
0.31
 
Income (loss) from discontinued operations
   
(0.02
)
   
0.01
 
Basic net income attributable to La-Z-Boy Incorporated per share
 
$
0.31
   
$
0.32
 
 
               
Diluted average shares
   
53,226
     
53,401
 
Diluted net income attributable to La-Z-Boy Incorporated per share:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
0.32
   
$
0.31
 
Income (loss) from discontinued operations
   
(0.01
)
   
0.01
 
Diluted net income attributable to La-Z-Boy Incorporated per share
 
$
0.31
   
$
0.32
 
 
               
Dividends declared per share
 
$
0.06
   
$
0.04
 
 
The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
CONSOLIDATED STATEMENT OF INCOME
 
 
 
Nine Months Ended
 
(Unaudited, amounts in thousands, except per share data)
 
1/25/14
   
1/26/13
 
Sales
 
$
1,017,692
   
$
945,848
 
Cost of sales
   
670,011
     
646,038
 
Gross profit
   
347,681
     
299,810
 
Selling, general and administrative expense
   
281,767
     
259,111
 
Operating income
   
65,914
     
40,699
 
Interest expense
   
411
     
512
 
Interest income
   
539
     
435
 
Other income (expense), net
   
1,107
     
2,515
 
Income from continuing operations before income taxes
   
67,149
     
43,137
 
Income tax expense
   
22,462
     
14,912
 
Income from continuing operations
   
44,687
     
28,225
 
Income (loss) from discontinued operations, net of tax
   
(864
)
   
465
 
Net income
   
43,823
     
28,690
 
Net income attributable to noncontrolling interests
   
(1,006
)
   
(609
)
Net income attributable to La-Z-Boy Incorporated
 
$
42,817
   
$
28,081
 
 
               
Net income attributable to La-Z-Boy Incorporated:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
43,681
   
$
27,616
 
Income (loss) from discontinued operations
   
(864
)
   
465
 
Net income attributable to La-Z-Boy Incorporated
 
$
42,817
   
$
28,081
 
 
               
Basic average shares
   
52,465
     
52,327
 
Basic net income attributable to La-Z-Boy Incorporated per share:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
0.83
   
$
0.52
 
Income (loss) from discontinued operations
   
(0.02
)
   
0.01
 
Basic net income attributable to La-Z-Boy Incorporated per share
 
$
0.81
   
$
0.53
 
 
               
Diluted average shares
   
53,379
     
53,201
 
Diluted net income attributable to La-Z-Boy Incorporated per share:
               
Income from continuing operations attributable to La-Z-Boy Incorporated
 
$
0.81
   
$
0.51
 
Income (loss) from discontinued operations
   
(0.01
)
   
0.01
 
Diluted net income attributable to La-Z-Boy Incorporated per share
 
$
0.80
   
$
0.52
 
 
               
Dividends declared per share
 
$
0.14
   
$
0.04
 

The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
 
 
 
Third Quarter Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
 
Net income
 
$
16,871
   
$
17,163
 
Other comprehensive income (loss)
               
Currency translation adjustment
   
(1,224
)
   
302
 
Change in fair value of cash flow hedges, net of tax
   
(165
)
   
43
 
Net unrealized losses on marketable securities, net of tax
   
(104
)
   
(1,973
)
Net pension amortization, net of tax
   
547
     
470
 
Total other comprehensive income (loss)
   
(946
)
   
(1,158
)
Total comprehensive income before allocation to noncontrolling interests
   
15,925
     
16,005
 
Comprehensive (income) loss attributable to noncontrolling interests
   
23
     
(277
)
Comprehensive income attributable to La-Z-Boy Incorporated
 
$
15,948
   
$
15,728
 

 
 
 
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
 
Net income
 
$
43,823
   
$
28,690
 
Other comprehensive income (loss)
               
Currency translation adjustment
   
(2,530
)
   
1,252
 
Change in fair value of cash flow hedges, net of tax
   
(529
)
   
145
 
Net unrealized gains (losses) on marketable securities, net of tax
   
540
     
(2,504
)
Net pension amortization, net of tax
   
1,642
     
1,416
 
Total other comprehensive income (loss)
   
(877
)
   
309
 
Total comprehensive income before allocation to noncontrolling interests
   
42,946
     
28,999
 
Comprehensive income attributable to noncontrolling interests
   
(145
)
   
(793
)
Comprehensive income attributable to La-Z-Boy Incorporated
 
$
42,801
   
$
28,206
 

The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
CONSOLIDATED BALANCE SHEET

(Unaudited, amounts in thousands)
 
1/25/14
   
4/27/13
 
Current assets
 
   
 
Cash and equivalents
 
$
140,112
   
$
131,085
 
Restricted cash
   
12,566
     
12,686
 
Receivables, net of allowance of $12,706 at 1/25/14 and $21,607 at 4/27/13
   
151,917
     
160,005
 
Inventories, net
   
159,586
     
146,343
 
Deferred income taxes – current
   
19,174
     
20,640
 
Business held for sale
   
8,923
     
 
Other current assets
   
27,797
     
30,121
 
Total current assets
   
520,075
     
500,880
 
Property, plant and equipment, net
   
122,422
     
118,060
 
Goodwill
   
13,923
     
12,837
 
Other intangible assets
   
5,931
     
4,838
 
Deferred income taxes – long-term
   
33,927
     
30,572
 
Other long-term assets, net
   
67,923
     
53,184
 
Total assets
 
$
764,201
   
$
720,371
 
 
               
Current liabilities
               
Current portion of long-term debt
 
$
7,574
   
$
513
 
Accounts payable
   
53,814
     
50,542
 
Business held for sale
   
2,653
     
 
Accrued expenses and other current liabilities
   
99,841
     
99,108
 
Total current liabilities
   
163,882
     
150,163
 
Long-term debt
   
345
     
7,576
 
Other long-term liabilities
   
80,652
     
70,664
 
Contingencies and commitments
   
     
 
Shareholders’ equity
               
Preferred shares – 5,000 authorized; none issued
   
     
 
Common shares, $1 par value – 150,000 authorized; 52,419 outstanding at 1/25/14 and 52,392 outstanding at 4/27/13
   
52,419
     
52,392
 
Capital in excess of par value
   
254,403
     
241,888
 
Retained earnings
   
240,628
     
226,044
 
Accumulated other comprehensive loss
   
(35,512
)
   
(35,496
)
Total La-Z-Boy Incorporated shareholders' equity
   
511,938
     
484,828
 
Noncontrolling interests
   
7,384
     
7,140
 
Total equity
   
519,322
     
491,968
 
Total liabilities and equity
 
$
764,201
   
$
720,371
 

The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
CONSOLIDATED STATEMENT OF CASH FLOWS

 
 
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
 
Cash flows from operating activities
 
   
 
Net income
 
$
43,823
   
$
28,690
 
Adjustments to reconcile net income to cash provided by (used for) operating activities
               
Gain on sale of investments
   
(282
)
   
(2,866
)
Impairment of business held for sale
   
1,149
     
 
Deferred income tax benefit
   
(2,929
)
   
(745
)
Restructuring
   
(115
)
   
2,716
 
Provision for doubtful accounts
   
(2,494
)
   
1,009
 
Depreciation and amortization
   
17,529
     
17,111
 
Stock-based compensation expense
   
7,371
     
8,198
 
Pension plan contributions
   
     
(3,480
)
Change in receivables
   
4,865
     
2,457
 
Change in inventories
   
(15,166
)
   
(12,355
)
Change in other assets
   
2,980
     
(5,432
)
Change in payables
   
2,865
     
(6,261
)
Change in other liabilities
   
3,193
     
4,410
 
Net cash provided by operating activities
   
62,789
     
33,452
 
 
               
Cash flows from investing activities
               
Proceeds from disposal of assets
   
2,248
     
1,484
 
Capital expenditures
   
(23,078
)
   
(21,792
)
Purchases of investments
   
(40,796
)
   
(36,353
)
Proceeds from sales of investments
   
27,974
     
12,658
 
Acquisitions, net of cash acquired
   
(801
)
   
(15,832
)
Change in restricted cash
   
120
     
(6,937
)
Net cash used for investing activities
   
(34,333
)
   
(66,772
)
 
               
Cash flows from financing activities
               
Payments on debt
   
(434
)
   
(2,372
)
Stock issued for stock and employee benefit plans
   
3,526
     
1,528
 
Excess tax benefit on stock option exercises
   
5,805
     
1,117
 
Purchases of common stock
   
(20,276
)
   
(5,217
)
Dividends paid
   
(7,375
)
   
(2,119
)
Net cash used for financing activities
   
(18,754
)
   
(7,063
)
 
               
Effect of exchange rate changes on cash and equivalents
   
(675
)
   
(6
)
Change in cash and equivalents
   
9,027
     
(40,389
)
Cash and equivalents at beginning of period
   
131,085
     
152,370
 
Cash and equivalents at end of period
 
$
140,112
   
$
111,981
 
 
               
Supplemental disclosure of non-cash investing activities
               
Capital expenditures included in payables
 
$
2,183
   
$
 

The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
CONSOLIDATED STATEMENT OF CHANGES IN EQUITY

 (Unaudited, amounts in thousands)
 
Common
Shares
   
Capital in
Excess of
Par Value
   
Retained
Earnings
   
Accumulated
Other
Compre-
hensive Loss
   
Non-
Controlling
Interests
   
Total
 
At April 28, 2012
 
$
52,244
   
$
231,332
   
$
189,609
   
$
(31,281
)
 
$
5,911
   
$
447,815
 
Net income
                   
46,389
             
793
     
47,182
 
Other comprehensive income (loss)
                           
(4,215
)
   
339
     
(3,876
)
Stock issued for stock and employee benefit plans, net of cancellations
   
817
     
1,849
     
(1,368
)
                   
1,298
 
Purchases of common stock
   
(669
)
   
(5,314
)
   
(4,350
)
                   
(10,333
)
Stock option and restricted stock expense
           
11,458
                             
11,458
 
Excess tax benefit from exercise of options
           
2,563
                             
2,563
 
Dividends paid
                   
(4,236
)
                   
(4,236
)
Change in noncontrolling interests
                                   
97
     
97
 
At April 27, 2013
   
52,392
     
241,888
     
226,044
     
(35,496
)
   
7,140
     
491,968
 
Net income
                   
42,817
             
1,006
     
43,823
 
Other comprehensive income (loss)
                           
(16
)
   
(861
)
   
(877
)
Stock issued for stock and employee benefit plans, net of cancellations
   
929
     
2,364
     
(4,509
)
                   
(1,216
)
Purchases of common stock
   
(902
)
   
(3,025
)
   
(16,349
)
                   
(20,276
)
Stock option and restricted stock expense
           
7,371
                             
7,371
 
Excess tax benefit from exercise of options
           
5,805
                             
5,805
 
Dividends paid
                   
(7,375
)
                   
(7,375
)
Change in noncontrolling interests
                                   
99
     
99
 
At January 25, 2014
 
$
52,419
   
$
254,403
   
$
240,628
   
$
(35,512
)
 
$
7,384
   
$
519,322
 

The accompanying Notes to Consolidated Financial Statements are an integral part of these statements.
LA-Z-BOY INCORPORATED
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED)
 
Note 1: Basis of Presentation
 
The accompanying consolidated financial statements include the consolidated accounts of La-Z-Boy Incorporated and our majority-owned subsidiaries.  The April 27, 2013, balance sheet was derived from our audited financial statements.  The interim financial information is prepared in conformity with generally accepted accounting principles, and such principles are applied on a basis consistent with those reflected in our fiscal 2013 Annual Report on Form 10-K filed with the Securities and Exchange Commission, but does not include all the disclosures required by generally accepted accounting principles.  In the opinion of management, the interim financial information includes all adjustments and accruals, consisting only of normal recurring adjustments (except as otherwise disclosed), which are necessary for a fair presentation of results for the respective interim period.  The interim results reflected in the accompanying financial statements are not necessarily indicative of the results of operations which will occur for the full fiscal year ending April 26, 2014.

During the third quarter of fiscal 2014, we agreed in principle to sell our Bauhaus operating unit to a group of investors.  The agreement includes the sale of substantially all of the assets of our Bauhaus business unit.  As a result of the expected sale, our Bauhaus business unit assets are reported as held for sale as of the end of the third quarter of fiscal 2014, and their operating results are reported as discontinued operations for all periods presented.

Note 2: Allowance for Credit Losses
 
As of January 25, 2014, we had gross notes receivable of $4.5 million outstanding from five customers, with a corresponding allowance for credit losses of $0.2 million.  We have collateral from these customers in the form of inventory and/or real estate to support the net carrying value of these notes.  We do not accrue interest income on these notes receivable, but we record interest income when it is received.  During the nine months ended January 25, 2014, $2.7 million of our notes receivable and a corresponding $1.9 million of allowance for credit losses were written off, primarily related to our acquisition of the assets of two independent La-Z-Boy Furniture Galleries® dealers during the period.  Of the $4.5 million in notes receivable as of January 25, 2014, $0.6 million is expected to be repaid in the next twelve months, and was categorized as receivables in our consolidated balance sheet.  The remainder of the notes receivable and the entire allowance for credit losses were categorized as other long-term assets.

The following is an analysis of the allowance for credit losses related to our notes receivable as of and for the quarter and nine months ended January 25, 2014, and January 26, 2013:

 
 
Third Quarter Ended
   
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Beginning balance
 
$
158
   
$
1,481
   
$
1,986
   
$
1,537
 
Recoveries
   
     
(17
)
   
     
(73
)
Write-offs
   
     
     
(1,888
)
   
 
Provision for credit losses
   
     
     
60
     
 
Ending balance
 
$
158
   
$
1,464
   
$
158
   
$
1,464
 

Note 3: Inventories
 
A summary of inventories is as follows:
 
(Unaudited, amounts in thousands)
 
1/25/14
   
4/27/13
 
Raw materials
 
$
78,209
   
$
70,731
 
Work in process
   
13,616
     
12,182
 
Finished goods
   
97,604
     
93,273
 
FIFO inventories
   
189,429
     
176,186
 
Excess of FIFO over LIFO
   
(29,843
)
   
(29,843
)
Inventories, net
 
$
159,586
   
$
146,343
 

Note 4:  Investments

Our consolidated balance sheet at January 25, 2014, included $10.5 million of available-for-sale investments and $1.6 million of trading securities in other current assets and $41.9 million of available-for-sale investments in other long-term assets.  Available-for-sale investments of $10.8 million and trading securities of $1.1 million were included in other current assets, and available-for-sale investments of $29.2 million were included in other long-term assets in our consolidated balance sheet at April 27, 2013.  At January 25, 2014, and April 27, 2013, $37.9 million and $29.9 million, respectively, of these investments were to enhance returns on our cash.  The remaining investments were designated to fund future obligations of our non-qualified defined benefit retirement plan and our executive deferred compensation plan.  If there were a decline in the fair value of an investment below its cost and the decline was considered other-than-temporary, the amount of decline below cost would be charged against earnings.

The following is a summary of investments at January 25, 2014, and April 27, 2013:
 
As of January 25, 2014
 (Unaudited, amounts in thousands)
 
Gross
Unrealized Gains
   
Gross
Unrealized Losses
   
 
Fair Value
 
Equity securities
 
$
1,121
   
$
(66
)
 
$
8,073
 
Fixed income
   
172
     
(509
)
   
44,192
 
Mutual funds
   
     
     
1,604
 
Other
   
1
     
(10
)
   
114
 
Total securities
 
$
1,294
   
$
(585
)
 
$
53,983
 
 
                       
As of April 27, 2013
                       
 (Unaudited, amounts in thousands)
 
Gross
Unrealized Gains
   
Gross
Unrealized Losses
   
 
Fair Value
 
Equity securities
 
$
296
   
$
(152
)
 
$
6,668
 
Fixed income
   
159
     
(1
)
   
33,076
 
Mutual funds
   
     
     
1,126
 
Other
   
1
     
(3
)
   
220
 
Total securities
 
$
456
   
$
(156
)
 
$
41,090
 

The following table summarizes sales of available-for-sale securities:

 
 
Third Quarter Ended
   
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Proceeds from sales
 
$
9,778
   
$
6,973
   
$
27,974
   
$
11,881
 
Gross realized gains
   
775
     
2,163
     
820
     
3,008
 
Gross realized losses
   
(473
)
   
(106
)
   
(538
)
   
(142
)

The fair value of fixed income available-for-sale securities by contractual maturity was $10.5 million within one year, $31.3 million within two to five years, $1.8 million within six to ten years and $0.6 million thereafter.

Note 5: Goodwill and Other Intangible Assets

During the second quarter of fiscal 2014, we acquired the assets of one independent La-Z-Boy Furniture Galleries® dealer in exchange for that dealer’s net notes and accounts receivable, valued at $1.6 million.  As a result of the acquisition we reacquired the right to own and operate La-Z-Boy Furniture Galleries® stores in that market.  We recorded an indefinite-lived intangible asset of $0.6 million in our Retail segment related to this reacquired right.

During the third quarter of fiscal 2014, we acquired the assets of one independent La-Z-Boy Furniture Galleries® dealer in exchange for that dealer’s net notes and accounts receivable, valued at $1.4 million, and a cash payment to the dealer of $0.8 million.  As a result of the acquisition we reacquired the right to own and operate La-Z-Boy Furniture Galleries® stores in that market.  We recorded an indefinite-lived intangible asset of $0.5 million in our Retail segment related to this reacquired right, and goodwill of $1.1 million.

The following is a roll-forward of goodwill for the nine months ended January 25, 2014:

 
Goodwill
(Unaudited, amounts in thousands)
 
Goodwill
 
Balance at April 27, 2013
 
$
12,837
 
Acquisitions during fiscal 2014
   
1,086
 
Balance at January 25, 2014
 
$
13,923
 

The following is a roll-forward of other intangible assets for the nine months ended January 25, 2014:

 
Other Intangible Assets
(Unaudited, amounts in thousands)
 
Tradenames
   
Reacquired
Rights
   
Total Other
Intangible
Assets
 
Balance at April 27, 2013
 
$
2,693
   
$
2,145
   
$
4,838
 
Acquisitions during fiscal 2014
   
     
1,093
     
1,093
 
Balance at January 25, 2014
 
$
2,693
   
$
3,238
   
$
5,931
 

Note 6: Pension Plans

Net periodic pension costs were as follows:

 
 
Third Quarter Ended
   
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Service cost
 
$
311
   
$
308
   
$
933
   
$
924
 
Interest cost
   
1,206
     
1,331
     
3,618
     
3,993
 
Expected return on plan assets
   
(1,701
)
   
(1,714
)
   
(5,100
)
   
(5,142
)
Net amortization
   
893
     
756
     
2,676
     
2,268
 
Net periodic pension cost
 
$
709
   
$
681
   
$
2,127
   
$
2,043
 
 
Note 7: Product Warranties
 
We accrue an estimated liability for product warranties at the time the revenue is recognized. We estimate future warranty claims based on claim experience and any additional anticipated future costs on previously sold products.  Our liability estimates incorporate the cost of repairs including materials consumed, labor and overhead amounts necessary to perform the repair and any costs associated with delivery of the repaired product to the customer.  Over 90% of our warranty liability relates to our Upholstery segment as we generally warrant our products against defects for one year on fabric and leather, from one to ten years on cushions and padding, and up to a lifetime on certain mechanisms and frames.  Labor costs relating to our parts are warrantied for one year from the date of purchase by the end customer.  Considerable judgment is used in making our estimates.  Differences between actual and estimated costs are recorded when the differences are known.

A reconciliation of the changes in our product warranty liability for the nine months ended January 25, 2014, and January 26, 2013, is as follows:

 
 
Third Quarter Ended
   
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Balance as of the beginning of the period
 
$
15,929
   
$
14,313
   
$
15,525
   
$
14,327
 
Accruals during the period
   
3,026
     
4,143
     
10,698
     
11,050
 
Reclass to discontinued operations
   
(218
)
   
     
(218
)
   
 
Settlements during the period
   
(3,615
)
   
(3,692
)
   
(10,883
)
   
(10,613
)
Balance as of the end of the period
 
$
15,122
   
$
14,764
   
$
15,122
   
$
14,764
 
 
As of January 25, 2014, and April 27, 2013, $9.2 million and $9.5 million, respectively, of our product warranty liability was included in accrued expenses and other current liabilities in our consolidated balance sheet, with the remainder included in other long-term liabilities. The accruals recorded during the periods presented primarily reflect charges related to warranties issued during the respective periods.
 
Note 8:  Stock-Based Compensation
 
The table below summarizes the total stock-based compensation expense recognized for all outstanding grants in our consolidated statement of income:
 
 
 
Third Quarter Ended
   
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Equity-based awards expense
 
$
1,700
   
$
1,239
   
$
7,371
   
$
8,198
 
Liability-based awards expense
   
2,203
     
314
     
5,993
     
1,205
 
Total stock-based compensation expense
 
$
3,903
   
$
1,553
   
$
13,364
   
$
9,403
 

The table below summarizes the grants made during the first nine months of fiscal 2014:
 
(Unaudited, shares/units in thousands)
 
Shares/units
granted
 
Liability/
Equity
award
 
Settlement
Stock options
 
175
 
Equity
 
Common shares
Stock appreciation rights (“SARs”)
 
142
 
Liability
 
Cash
Restricted stock units – employees
 
125
 
Liability
 
Cash
Restricted stock units – directors
 
34
 
Equity
 
Common shares
Performance-based units
 
35
 
Liability
 
Cash
Performance-based shares
 
191
 
Equity
 
Common shares
 
Stock Options. We granted 174,595 stock options to employees during the first quarter of fiscal 2014.  Stock options are accounted for as equity-based awards because upon exercise of the stock option they will be settled in common shares.  Compensation expense for stock options is equal to the fair value on the date the award was approved and is recognized over the vesting period.  The vesting period for our stock options ranges from one to four years.  Options granted to retirement eligible employees are expensed immediately because they vest upon retirement.  The fair value for the employee stock options granted was estimated at the date of the grant using the Black-Scholes option-pricing model, which requires management to make certain assumptions.  Expected volatility was estimated based on the historical volatility of our common shares.  The average expected life was based on the contractual term of the stock option and expected employee exercise and post-vesting employment termination trends.  The risk-free rate was based on U.S. Treasury issues with a term equal to the expected life assumed at the date of the grant.

The fair value of stock options granted during the first quarter of fiscal 2014 was calculated using the following assumptions:
 
(Unaudited)
 
7/27/13
 
Risk-free interest rate
   
0.84
%
Dividend rate
   
0.84
%
Expected life in years
   
5.0
 
Stock price volatility
   
81.3
%
Fair value per share
 
$
11.63
 
 
Stock Appreciation Rights.  We granted 141,546 stock appreciation rights to employees during the first quarter of fiscal 2014.  SARs will be paid in cash upon vesting and as such are accounted for as liability-based awards that will be remeasured to reflect the fair value at the end of each reporting period.  These awards vest at 25% per year, beginning one year from the grant date for a term of four years.  SARs granted to retirement eligible employees are expensed immediately because they vest upon retirement.  The fair value for the SARs is estimated at the end of each period using the Black-Scholes option-pricing model, which requires management to make certain assumptions.  The average expected life was based on the contractual term of the SARs and expected employee exercise and post-vesting employment termination trends (which is consistent with the expected life of our option awards).  The risk-free rate was based on U.S. Treasury issues with a term equal to the expected life assumed at the end of the reporting period.
The fair value of the SARs granted during the first quarter of fiscal 2014 was remeasured at January 25, 2014, using the following assumptions:
 
(Unaudited)
 
1/25/14
 
Risk-free interest rate
   
1.58
%
Dividend rate
   
0.90
%
Expected life in years
   
4.39
 
Stock price volatility
   
53.14
%
Fair value per share
 
$
13.94
 
 
In fiscal 2013, we granted SARs as described in our Form 10-K for the fiscal year ended April 27, 2013.  The fair value of the SARs granted during fiscal 2013 was remeasured at January 25, 2014, using the following assumptions:
 
(Unaudited)
 
1/25/14
 
Risk-free interest rate
   
0.69
%
Dividend rate
   
0.90
%
Expected life in years
   
3.46
 
Stock price volatility
   
50.44
%
Fair value per share
 
$
16.31
 
 
Restricted Stock Units. We granted 125,007 restricted stock units to employees during the first nine months of fiscal 2014.  These units are accounted for as liability-based awards because upon vesting these awards will be paid in cash.  Compensation expense is initially measured and recognized based on the market value (intrinsic value) of our common stock on the grant date and amortized over the vesting period.  The liability is remeasured and adjusted based on the market value (intrinsic value) of our common shares on the last day of the reporting period until paid with a corresponding adjustment to reflect the cumulative amount of compensation expense.  The fair value of the restricted stock units at January 25, 2014, was $27.19.  Each restricted stock unit is the equivalent of one common share.  Restricted stock units vest at 25% per year, beginning one year from the grant date for a term of four years.
 
During the second quarter of fiscal 2014, we granted 34,200 restricted stock units to our non-employee directors.  They vest upon the director leaving the board.  They will be settled in shares of our common stock upon vesting, and we account for them as equity-based awards.  Compensation expense for these awards is measured and recognized on the grant date based on the market price of our common shares on the date of grant, which was $21.20.
 
Performance Awards. During the first quarter of fiscal 2014, we granted 35,083 performance-based units and 191,410 performance-based shares.  Payout of these grants depends on our financial performance (80%) and a market-based condition based on the total return that our shareholders receive on their investment in our stock relative to returns earned through investments in other public companies (20%).  The performance award opportunity ranges from 50% of the employee’s target award if minimum performance requirements are met to a maximum of 200% of the target award based on the attainment of certain financial and shareholder-return goals over a specific performance period, which is generally three fiscal years.
 
The performance-based units are accounted for as liability-based awards because upon vesting they will be paid in cash.  For performance-based units that vest based on performance conditions, the fair value of each unit was $26.59 at January 25, 2014, which was the market value of our common shares on the last day of the reporting period less expected dividends to be paid prior to vesting, and compensation cost is expensed based on the probability that the performance goals will be obtained.  For performance-based units that vest based on market conditions, the fair value of the award was estimated using a Monte Carlo valuation model on the last day of the reporting period, and compensation cost is expensed over the vesting period.  The liability for these units is remeasured and adjusted based on the Monte Carlo valuation at the end of each reporting period until paid.  Based on the Monte Carlo valuation, the fair value of each performance-based unit that vests based on market conditions was $42.93 at January 25, 2014.
The performance-based shares are accounted for as equity-based awards because upon vesting they will be settled in common shares.  The grant date fair value of performance-based shares is expensed over the service period.  For performance-based shares that vest based on performance conditions, the fair value of each share was $18.58, which was the market value of our common shares on the date of grant less expected dividends to be paid prior to vesting, and compensation cost is expensed based on the probability that the performance goals will be obtained.  For performance-based shares that vest based on market conditions, the fair value of each share was estimated using a Monte Carlo valuation model on the date of grant, and compensation cost is expensed over the vesting period, regardless of the ultimate vesting of the award, similar to the expensing of a stock option award.  The fair value for each performance-based share that vests based on market conditions, as determined by the Monte Carlo valuation, was $26.08 at the grant date.
 
In fiscal 2013, we granted performance-based units as described in our Form 10-K for the fiscal year ended April 27, 2013.  For those of the performance-based units that vest based on performance conditions, the fair value of each unit was $26.83 at January 25, 2014, which was the market value of our common shares on the last day of the reporting period less expected dividends to be paid prior to vesting.  For those of the performance-based units that vest based on market conditions, the fair value of each unit was $47.56 at January 25, 2014, which was based on the Monte Carlo valuation at the end of the reporting period.
 
Note 9: Accumulated Other Comprehensive Loss

The activity in accumulated other comprehensive loss for the first nine months of fiscal 2014 is as follows:

 
 
   
   
   
 
 (Unaudited, amounts in thousands)
 
Unrealized
gain on
marketable
securities
   
Translation
adjustment
   
Change in
fair value
of cash
flow hedge
   
Net pension
amortization
and net
actuarial
loss
   
Accumulated
other
comprehensive
loss
 
Balance at April 27, 2013
 
$
474
   
$
4,779
   
$
231
   
$
(40,980
)
 
$
(35,496
)
Changes before reclassifications
   
1,161
     
(1,669
)
   
(1,040
)
   
     
(1,548
)
Amounts reclassified to net income
   
(282
)
   
     
179
     
2,676
     
2,573
 
Tax effect
   
(339
)
   
     
332
     
(1,034
)
   
(1,041
)
Other comprehensive income (loss) attributable to La-Z- Boy Incorporated
   
540
     
(1,669
)
   
(529
)
   
1,642
     
(16
)
Balance at January 25, 2014
 
$
1,014
   
$
3,110
   
$
(298
)
 
$
(39,338
)
 
$
(35,512
)

The unrealized gain on marketable securities was reclassified from accumulated other comprehensive loss to net income through other income (expense) in our consolidated statement of income, and the change in fair value of cash flow hedge and the net pension amortization were reclassified to net income through selling, general and administrative expense.
The components of non-controlling interest at January 25, 2014, and January 26, 2013, were as follows:

(Unaudited, amounts in thousands)
 
 
Balance at April 27, 2013
 
$
7,140
 
Net income
   
1,006
 
Other comprehensive loss
   
(861
)
Change in non-controlling interest
   
99
 
Balance at January 25, 2014
 
$
7,384
 
 
(Unaudited, amounts in thousands)
       
Balance at April 28, 2012
 
$
5,911
 
Net income
   
609
 
Other comprehensive income
   
184
 
Change in non-controlling interest
   
97
 
Balance at January 26, 2013
 
$
6,801
 

Note 10: Segment Information
 
Our reportable operating segments are the Upholstery segment, the Casegoods segment and the Retail segment.
 
Upholstery Segment.  The Upholstery segment consists of two operating units: La-Z-Boy and England.  This segment manufactures or imports upholstered furniture. Upholstered furniture includes recliners and motion furniture, sofas, loveseats, chairs, sectionals, modulars, ottomans and sleeper sofas.  The Upholstery segment sells directly to La-Z-Boy Furniture Galleries® stores, operators of Comfort Studios® locations, major dealers and other independent retailers.

Casegoods Segment. The Casegoods segment consists of four brands: American Drew, Lea, Hammary, and Kincaid.  This segment sells imported or manufactured wood furniture to furniture retailers.  Casegoods product includes bedroom, dining room, entertainment centers, occasional pieces and some coordinated upholstered furniture.  The Casegoods segment sells to major dealers and other independent retailers.

Retail Segment. The Retail segment consists of 100 company-owned La-Z-Boy Furniture Galleries® stores in 12 primary markets.  The Retail segment sells upholstered furniture, in addition to some casegoods and other accessories, to end consumers through the retail network.
 
 
Third Quarter Ended
   
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Sales
 
   
   
   
 
Upholstery segment:
 
   
   
   
 
Sales to external customers
 
$
242,492
   
$
236,428
   
$
710,162
   
$
657,073
 
Intersegment sales
   
37,780
     
34,622
     
103,183
     
93,401
 
Upholstery segment sales
   
280,272
     
271,050
     
813,345
     
750,474
 
Casegoods segment:
                               
Sales to external customers
   
27,267
     
30,496
     
85,733
     
95,841
 
Intersegment sales
   
2,367
     
2,115
     
7,269
     
5,907
 
Casegoods segment sales
   
29,634
     
32,611
     
93,002
     
101,748
 
 
                               
Retail segment sales
   
80,212
     
72,772
     
219,845
     
191,089
 
Corporate and Other
   
404
     
515
     
1,952
     
1,845
 
Eliminations
   
(40,147
)
   
(36,737
)
   
(110,452
)
   
(99,308
)
Consolidated sales
 
$
350,375
   
$
340,211
   
$
1,017,692
   
$
945,848
 
 
                               
Operating Income (Loss)
                               
Upholstery segment
 
$
31,560
   
$
27,909
   
$
86,547
   
$
64,892
 
Casegoods segment
   
(41
)
   
200
     
1,161
     
2,381
 
Retail segment
   
3,087
     
2,668
     
8,264
     
105
 
Restructuring
   
60
     
(30
)
   
115
     
(2,633
)
Corporate and Other
   
(9,217
)
   
(7,935
)
   
(30,173
)
   
(24,046
)
Consolidated operating income
 
$
25,449
   
$
22,812
   
$
65,914
   
$
40,699
 

Note 11: Income Taxes

Our effective tax rate for continuing operations in the third quarter of fiscal 2014 and the third quarter of fiscal 2013 was 33.2%, and was 33.5% for the first nine months of fiscal 2014 compared to 34.6% for the first nine months of fiscal 2013.

Items impacting our effective tax rate for the first nine months of fiscal 2014 included a tax benefit of $0.9 million in the second quarter for the release of a valuation allowance relating to certain U.S. state deferred tax assets and a net tax benefit of $0.2 million in the third quarter primarily from adjustments to deferred taxes as a result of Mexico tax law changes.  Absent discrete adjustments, the effective tax rate for continuing operations in the first nine months of fiscal 2014 would have been 35.0%.

Our consolidated balance sheet at the end of the third quarter of fiscal 2014 reflected a $1.4 million net liability for uncertain income tax positions.  It is reasonably possible that $0.2 million of this liability will be settled within the next 12 months.  The remaining balance will be paid or released as tax audits are completed or settled, statutes of limitation expire or other new information becomes available.

In September 2013, the Internal Revenue Service enacted final tax regulations regarding the capitalization and expensing of amounts paid to acquire, produce, or improve tangible property.  The regulations also include guidance regarding the retirement of depreciable property.  The regulations are required to be effective in taxable years beginning on or after January 1, 2014, although taxpayers may choose to apply them in taxable years beginning on or after January 1, 2012.  We are currently assessing the impact of the final regulations on our financial statements.
Note 12: Earnings per Share
 
Certain share-based payment awards that entitle their holders to receive non-forfeitable dividends prior to vesting are considered participating securities.  We grant restricted stock awards that contain non-forfeitable rights to dividends on unvested shares; as participating securities, the unvested shares are required to be included in the calculation of our basic earnings per common share, using the two-class method.

A reconciliation of the numerators and denominators used in the computations of basic and diluted earnings per share is as follows:

 
 
Third Quarter Ended
   
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Numerator (basic and diluted):
 
   
   
   
 
Net income attributable to La-Z-Boy Incorporated
 
$
16,483
   
$
17,064
   
$
42,817
   
$
28,081
 
Income allocated to participating securities
   
(100
)
   
(218
)
   
(354
)
   
(401
)
Net income available to common Shareholders
 
$
16,383
   
$
16,846
   
$
42,463
   
$
27,680
 
 
                               
Denominator:
                               
Basic weighted average common shares Outstanding
   
52,516
     
52,431
     
52,465
     
52,327
 
Add:
                               
Contingent common shares
   
361
     
438
     
501
     
345
 
Stock option dilution
   
349
     
532
     
413
     
529
 
Diluted weighted average common shares Outstanding
   
53,226
     
53,401
     
53,379
     
53,201
 

Contingent common shares reflect the dilutive effect of common shares that would be issued under the terms of performance-based share grants made to employees, assuming the reporting period was the performance period.

We had outstanding options to purchase 0.2 million shares for the quarter and nine months ended January 26, 2013, with a weighted average exercise price of $20.74.  We excluded the effect of these options from the diluted share calculation for these periods since the weighted average exercise price of the options was higher than the average market price, and including the options’ effect would have been anti-dilutive.  There were no outstanding options to purchase shares that were excluded from the diluted share calculation because their effect would have been anti-dilutive for the quarter and nine months ended January 25, 2014.

Note 13: Fair Value Measurements

Accounting standards require the categorization of financial assets and liabilities, based on the inputs to the valuation technique, into a three-level fair value hierarchy. The various levels of the fair value hierarchy are described as follows:

· Level 1 — Financial assets and liabilities whose values are based on unadjusted quoted market prices for identical assets and liabilities in an active market that we have the ability to access.
 
  · Level 2 — Financial assets and liabilities whose values are based on quoted prices in markets that are not active or model inputs that are observable for substantially the full term of the asset or liability.
 
· Level 3 — Financial assets and liabilities whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.
 
Accounting standards require the use of observable market data, when available, in making fair value measurements. When inputs used to measure fair value fall within different levels of the hierarchy, the level within which the fair value measurement is categorized is based on the lowest level input that is significant to the fair value measurement.  Transfers between levels are recognized at the end of the reporting period in which they occur.

In addition to assets and liabilities that are recorded at fair value on a recurring basis, we are required to record assets and liabilities at fair value on a non-recurring basis.  Non-financial assets such as trade names, goodwill, and other long-lived assets are measured at fair value when there is an indicator of impairment and recorded at fair value only when an impairment loss is recognized.  During the third quarter of fiscal 2014 we recorded the value of the assets of our Bauhaus business unit at fair value.  See Note 14 for further discussion.

The following table presents the fair value hierarchy for those assets measured at fair value on a recurring basis at January 25, 2014, and April 27, 2013:

As of January 25, 2014
 
 
 
Fair Value Measurements
 
(Unaudited, amounts in thousands)
 
Level 1(a)
   
Level 2(a)
   
Level 3
 
Assets
 
   
   
 
Available-for-sale securities
 
$
1,225
   
$
51,154
   
$
 
Trading securities
   
     
1,604
     
 
Total
 
$
1,225
   
$
52,758
   
$
 
 
(a) There were no transfers between Level 1 and Level 2 during fiscal 2014.

As of April 27, 2013
 
 
 
Fair Value Measurements
 
(Unaudited, amounts in thousands)
 
Level 1(b)
   
Level 2(b)
   
Level 3
 
Assets
 
   
   
 
Available-for-sale securities
 
$
1,217
   
$
38,747
   
$
 
Trading securities
   
     
1,126
     
 
Total
 
$
1,217
   
$
39,873
   
$
 
 
(b) There were no transfers between Level 1 and Level 2 during fiscal 2013.

At January 25, 2014, and April 27, 2013, we held available-for-sale marketable securities intended to enhance returns on our cash and to fund future obligations of our non-qualified defined benefit retirement plan, as well as trading securities to fund future obligations of our executive deferred compensation plan.  The fair value measurements for our securities are based upon quoted prices in active markets, as well as through broker quotes and independent valuation providers, multiplied by the number of shares owned exclusive of any transaction costs.

Note 14: Discontinued Operations

During the third quarter of fiscal 2014, we agreed in principle to sell our Bauhaus operating unit to a group of investors.  The agreement includes the sale of substantially all of the assets of our Bauhaus business unit.  As a result of the expected sale we recorded an impairment to the value of the assets to be sold of $1.1 million, because the consideration expected to be paid was less than the recorded amount of the net assets to be sold.

Our Bauhaus business unit assets are reported as held for sale as of the end of the third quarter of fiscal 2014, and their operating results are reported as discontinued operations for all periods presented.  We had historically reported the results of our Bauhaus business unit as a component of our Upholstery segment. The transaction is expected to close in the fourth quarter of fiscal 2014, and continuing cash flows from the end of the third quarter of fiscal 2014 through the closing date of the sale are not expected to be significant.

The results of the discontinued operations for Bauhaus for the third quarter and first nine months of fiscal 2014 and fiscal 2013 were as follows:
 
 
 
Third Quarter Ended
   
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
   
1/25/14
   
1/26/13
 
Net sales
 
$
9,101
   
$
8,937
   
$
27,100
   
$
27,142
 
 
                               
Income (loss) from discontinued operations (including impairment of $1.1 million in fiscal 2014)
 
$
(1,097
)
 
$
468
   
$
(1,323
)
 
$
747
 
Income tax benefit (expense)
   
380
     
(177
)
   
459
     
(282
)
Income (loss) from discontinued operations, net of tax
 
$
(717
)
 
$
291
   
$
(864
)
 
$
465
 

The assets and liabilities of Bauhaus that were classified as held for sale are as follows:

(Unaudited, amounts in thousands)
 
1/25/14
 
Assets
 
 
Receivables, net
 
$
3,672
 
Inventories, net
   
4,683
 
Other current assets
   
50
 
Property, plant, and equipment, net
   
518
 
Total assets
 
$
8,923
 
 
       
Liabilities
       
Accounts payable
 
$
1,777
 
Accrued expenses and other current liabilities
   
876
 
Total liabilities
 
$
2,653
 

In the Consolidated Statement of Cash Flows, the activity of this operating unit was included along with our activity from continuing operations.

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS
 
We have prepared this Management’s Discussion and Analysis as an aid to better understand our financial results. It should be read in conjunction with the accompanying Consolidated Financial Statements and related Notes to Consolidated Financial Statements. After a cautionary note about forward-looking statements, we begin with an introduction to our key businesses. We then provide discussions of our results of operations, liquidity and capital resources, and critical accounting policies.
 
During the third quarter of fiscal 2014, we agreed in principle to sell our Bauhaus operating unit to a group of investors.  The agreement includes the sale of substantially all of the assets of our Bauhaus business unit.  As a result of the expected sale, our Bauhaus business unit assets are reported as held for sale as of the end of the third quarter of fiscal 2014, and their operating results are reported as discontinued operations for all periods presented.  As such, this Management’s Discussion and Analysis reflects the results of continuing operations.  We had historically reported the results of our Bauhaus business unit as a component of our Upholstery segment.
 
Cautionary Statement Concerning Forward-Looking Statements
 
We make forward-looking statements in this report, and our representatives may make oral forward-looking statements from time to time. Generally, forward-looking statements include information concerning possible or assumed future actions, events or results of operations. More specifically, forward-looking statements may include information regarding:

¾    future income, margins and cash flows
¾    future economic performance
¾    future growth
¾    industry and importing trends
¾    adequacy and cost of financial resources
¾    management plans

Forward-looking statements also include those preceded or followed by the words "anticipates," "believes," "estimates," "hopes," "plans," "intends" and "expects" or similar expressions. With respect to all forward-looking statements, we claim the protection of the safe harbor for forward-looking statements contained in the Private Securities Litigation Reform Act of 1995.

Actual results could differ materially from those we anticipate or project due to a number of factors, including: (a) changes in consumer confidence and demographics; (b) speed of economic recovery or the possibility of another recession; (c) changes in the real estate and credit markets and their effects on our customers and suppliers; (d) international political unrest, terrorism or war; (e) volatility in energy and other commodities prices; (f) the impact of logistics on imports; (g) interest rate and currency exchange rate changes; (h) operating factors, such as supply, labor or distribution disruptions; (i) any court actions requiring us to return any of the Continued Dumping and Subsidy Offset Act distributions we have received; (j) changes in the domestic or international regulatory environment; (k) adoption of new accounting principles; (l) severe weather or other natural events such as hurricanes, earthquakes, flooding, tornadoes and tsunamis; (m) our ability to procure fabric rolls and leather hides or cut-and-sewn fabric and leather sets domestically or abroad; (n) information technology conversions or system failures; (o) effects of our brand awareness and marketing programs; (p) the discovery of defects in our products resulting in delays in manufacturing, recall campaigns, reputational damage, or increased warranty costs; (q) litigation arising out of alleged defects in our products; (r) our ability to locate new La-Z-Boy Furniture Galleries® stores (or store owners) and negotiate favorable lease terms for new or existing locations; (s) our ability to integrate acquired businesses and realize the benefit of anticipated synergies; and (t) those matters discussed in Item 1A of our fiscal 2013 Annual Report on Form 10-K and other factors identified from time-to-time in our reports filed with the Securities and Exchange Commission. We undertake no obligation to update or revise any forward-looking statements, whether to reflect new information or new developments or for any other reason.
Introduction

Our Business

La-Z-Boy Incorporated manufactures, markets, imports, distributes and retails upholstery products, accessories and casegoods (wood) furniture products.  We are the leading global producer of reclining chairs and the second largest manufacturer/distributor of residential furniture in the United States according to the May 2013 Key Sources for the U.S. Furniture Market in Furniture Today. The La-Z-Boy Furniture Galleries® stores retail network is the second largest retailer of single-branded upholstered furniture in North America according to the May 2013 Top 100 ranking by Furniture Today.  In addition, the La-Z-Boy Furniture Galleries® stores retail network is ranked number 10 in the Top 100 U.S. furniture stores according to the November 2013 ranking by Furniture Today.  We have nine major North-American manufacturing locations to support our speed to market and customization strategy.

We sell our products, primarily in the United States and Canada, to furniture retailers and directly to consumers through company-owned stores.  The centerpiece of our retail distribution strategy is our network of 312 La-Z-Boy Furniture Galleries® stores and 564 Comfort Studios® locations, each dedicated to marketing our La-Z-Boy branded products.  We consider this dedicated space to be “branded outlets” or “proprietary.”  We own 100 of the La-Z-Boy Furniture Galleries® stores.  The remainder of the La-Z-Boy Furniture Galleries® stores, as well as all 564 Comfort Studios® locations, are independently owned and operated.  La-Z-Boy Furniture Galleries® stores help consumers furnish their homes by combining the style, comfort and quality of La-Z-Boy furniture with our available in-home design service.  Comfort Studios® locations are defined spaces within larger independent retailers that are dedicated to displaying and selling La-Z-Boy branded products.  In addition to the La-Z-Boy Comfort Studios® locations, Kincaid, England and Lea have their own dedicated in-store gallery programs with over 645 outlets and 3.9 million square feet of proprietary floor space.  In total, our proprietary floor space includes approximately 11.5 million square feet.

Our reportable operating segments are the Upholstery segment, the Casegoods segment and the Retail segment.

· Upholstery Segment.  Our Upholstery segment is our largest segment in terms of revenue and consists of two operating units: La-Z-Boy, our largest operating unit, and England. The Upholstery segment manufactures or imports upholstered furniture such as recliners and motion furniture, sofas, loveseats, chairs, sectionals, modulars, ottomans and sleeper sofas.  The Upholstery segment sells directly to La-Z-Boy Furniture Galleries® stores, operators of Comfort Studios® locations, major dealers and other independent retailers.

· Casegoods Segment.  Our Casegoods segment is an importer, marketer, manufacturer and distributor of casegoods (wood) furniture such as bedroom sets, dining room sets, entertainment centers and occasional pieces, and some coordinated upholstered furniture.  The Casegoods segment consists of four brands: American Drew, Lea, Hammary, and Kincaid.  The Casegoods segment primarily sells to major dealers and other independent retailers.

· Retail Segment.  Our Retail segment consists of 100 company-owned La-Z-Boy Furniture Galleries® stores located in 12 markets ranging from southern California to the Midwest to the east coast of the United States.  The Retail segment primarily sells upholstered furniture, in addition to some casegoods and other accessories, to end consumers through the retail network.
Results of Operations
Fiscal 2014 Third Quarter Compared to Fiscal 2013 Third Quarter

La-Z-Boy Incorporated

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Consolidated sales
 
$
350,375
   
$
340,211
     
3.0
%
Consolidated operating income
   
25,449
     
22,812
     
11.6
%
Consolidated operating margin
   
7.3
%
   
6.7
%
       

Sales

Consolidated sales increased $10.2 million in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.  Our Upholstery and Retail segments both reported higher sales as compared to the prior year, with our Upholstery segment sales increase driven by the combination of stronger volume and selling price increases and our Retail segment sales increase driven by the acquisition of new stores and an improved merchandise mix.  This was partly offset by continued weakness in sales volume in our Casegoods segment.

These items are further explained in the discussion of each segment’s results later in this Management’s Discussion and Analysis.

Operating Margin

Our operating margin increased 0.6 percentage point for the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.

· Our gross margin improved 1.9 percentage points in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.  Gross margin in our Upholstery segment benefited from favorable absorption of fixed costs resulting from sales volume increases.  Our Retail segment gross margin improved as a result of improved merchandising.

· Selling, General, and Administrative (“SG&A”) expenses as a percentage of sales increased 1.3 percentage points in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.
o Incentive compensation costs were $3.8 million higher in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, an increase of 1.0 percentage point.  The main drivers of the increase in incentive compensation costs during the third quarter of fiscal 2014 were the improvement in our consolidated financial performance and the increase in our share price during the quarter.  Several of our share-based compensation awards are liability-based and/or performance-based awards, and their cumulative expense to date is adjusted at the end of each quarter based on the share price on the last day of the reporting period and the ultimate amount of awards expected to vest.
o
Advertising costs increased 0.5 percentage point in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, due primarily to increased spending related to our Live life comfortably marketing campaign.
o Increased sales resulted in increased absorption of fixed costs, most notably in our Retail segment’s leverage of fixed occupancy costs, somewhat offsetting the increases in compensation and advertising.
 
 
Upholstery Segment
 
(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
280,272
   
$
271,050
     
3.4
%
Operating income
   
31,560
     
27,909
     
13.1
%
Operating margin
   
11.3
%
   
10.3
%
       

Sales

Our Upholstery segment’s sales increased $9.2 million in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013, an increase of 3.4%.  Increased volume drove a 3.0% increase and higher selling prices resulted in a 1.3% increase in sales in the third quarter of fiscal 2014.  These items were partly offset by unfavorable changes in product mix.  The increased units sold in the third quarter of fiscal 2014 compared to the prior year most notably included more motion furniture, including recliners, as well as an increase in occasional chairs.  We sold more power units, which have higher average selling prices than units without power, during the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, which also contributed to the increase in sales.  We believe the increase in unit volume was a result of our Live life comfortably marketing campaign, the strength of our stationary product introductions and our improved product value and styling.  We also believe these factors continued to drive increased volume for our La-Z-Boy branded business generally and generated the improved performance of our retail store network, which includes both our company-owned and independent-licensed stores.

Operating Margin

Our Upholstery segment’s operating margin increased 1.0 percentage point for the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.

· The segment’s gross margin increased 1.3 percentage points during the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013 due to a combination of factors.  Higher unit volume, selling price, product mix changes, and operational efficiencies amounted to a 1.7 percentage point benefit.  These items more than offset the impact of raw material cost increases of 0.6 percentage point.

· The segment’s SG&A expense as a percentage of sales increased 0.3 percentage point, mainly as a result of higher advertising costs of 0.6 percentage point, due primarily to increased spending related to our Live life comfortably marketing campaign. In addition, we had higher incentive compensation costs in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013. These items were partially offset by the favorable absorption of fixed costs resulting from our sales volume increase as compared to the prior year.

Casegoods Segment
 
(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
29,634
   
$
32,611
     
(9.1
)%
Operating income (loss)
   
(41
)
   
200
     
(120.5
)%
Operating margin
   
(0.1
)%
   
0.6
%
       
 
Sales
 
Our Casegoods segment’s sales showed continued weakness, decreasing $3.0 million in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, due to lower sales volume of $3.4 million partly offset by an increase in selling prices of $0.4 million.  The replacement cycle is longer for casegoods furniture than for upholstered furniture, given that casegoods furniture is more durable and has a higher average ticket price, and we believe this has negatively impacted our sales in this segment.  In addition, we believe there has been a shift in consumer preference from formal and traditional product styling to more casual transitional and contemporary product.  Our product line has not shifted quickly enough in response to this change in consumer preference, and we are addressing this with our product refresh program.

Operating Margin

Our Casegoods segment’s operating margin declined 0.7 percentage point in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.  The decline in operating income was driven by the decline in sales, as well as an inability to absorb fixed costs.

Retail Segment

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
80,212
   
$
72,772
     
10.2
%
Operating income
   
3,087
     
2,668
     
15.7
%
Operating margin
   
3.8
%
   
3.7
%
       

Sales

Our Retail segment’s sales increased $7.4 million in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.  Of this increase, approximately $4.4 million was due to stores we acquired in the Las Vegas market in October 2013 and in northeast Ohio in November 2013.  In addition, we experienced an increase in ticket count and units per ticket on a same-store basis.  We believe the increase in sales in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013 was due to our Live life comfortably marketing campaign, the strength of our stationary product introductions and our improved product value and styling.

Operating Margin

Our Retail segment’s operating margin improved 0.1 percentage point in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013.

· The segment’s gross margin improved 0.7 percentage point in the third quarter of fiscal 2014 compared to the third quarter of fiscal 2013, benefitting from better product merchandising.
· The segment’s SG&A costs as a percent of sales increased 0.6 percentage point in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, primarily due to costs related to new store openings and the transition of ownership for acquired stores.  These costs included higher advertising costs of 0.4 percentage point, primarily to support these new and acquired stores.  In addition, we had higher incentive compensation costs in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013.  These cost increases were partly offset by the leverage of fixed costs resulting from the increase in sales. Occupancy costs and administrative costs are the significant drivers of our fixed SG&A expenses.

Corporate and Other

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
   
   
 
Corporate and Other
   
404
     
515
     
(21.6
)%
Eliminations
   
(40,147
)
   
(36,737
)
   
(9.3
)%
 
                       
Operating income (loss)
                       
Restructuring
   
60
     
(30
)
   
N/
M
Corporate and Other
   
(9,217
)
   
(7,935
)
   
(16.2
)%
N/M – not meaningful
                       

Sales

Eliminations increased in the third quarter of fiscal 2014 as compared to the same period in the prior year due to higher sales from our Upholstery segment to our Retail segment as a result of the increased volume in the Retail segment.

Operating Loss

Our Corporate and Other operating loss increased in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013 mainly due to higher incentive compensation costs in the third quarter of fiscal 2014 than the third quarter of fiscal 2013.  The main drivers of the increase in incentive compensation costs during the third quarter of fiscal 2014 were the improvement in our consolidated financial performance and the increase in our share price during the quarter.  Several of our share-based compensation awards are liability-based and/or performance-based awards, and their cumulative expense to date is adjusted at the end of each quarter based on the share price on the last day of the reporting period and the ultimate amount of awards expected to vest.

Other Income

Other income was $1.6 million lower in the third quarter of fiscal 2014 as compared to the third quarter of fiscal 2013, primarily due to higher gains realized on the sales of investments held to fund our non-qualified defined benefit retirement plan during the third quarter of fiscal 2013.

Income Taxes

Our effective tax rate for continuing operations in the third quarter of fiscal 2014 and the third quarter of fiscal 2013 was 33.2%.  The third quarter of fiscal 2014 included a net tax benefit of $0.2 million, primarily from adjustments to deferred taxes as a result of Mexico tax law changes.  Absent discrete adjustments, the effective tax rate for continuing operations in the third quarter of fiscal 2014 would have been 33.9%.
Results of Operations
Fiscal 2014 Nine Months Compared to Fiscal 2013 Nine Months

La-Z-Boy Incorporated

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Consolidated sales
 
$
1,017,692
   
$
945,848
     
7.6
%
Consolidated operating income
   
65,914
     
40,699
     
62.0
%
Consolidated operating margin
   
6.5
%
   
4.3
%
       

Sales

Consolidated sales increased $71.8 million in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013. Our Upholstery and Retail segments both reported higher sales as compared to the prior year, driven by the combination of stronger volume, favorable changes in product mix, and selling price increases.  Partly offsetting these sales increases was continued weakness in sales volume in our Casegoods segment.

These items are further explained in the discussion of each of our operating segment’s results later in this Management’s Discussion and Analysis.

Operating Margin

Our operating margin increased 2.2 percentage points for the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.

· Our gross margin increased 2.5 percentage points in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.  Gross margin in our Upholstery segment benefited from favorable absorption of fixed costs resulting from sales volume increases.  Our Retail segment gross margin improved as a result of improved merchandising and a higher priced product mix.

· SG&A expenses as a percentage of sales increased 0.3 percentage point in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.
o Incentive compensation costs were $9.5 million higher in the first nine months of fiscal 2014 than the first nine months of fiscal 2013, an increase of 0.8 percentage point.  The main drivers of the increase in incentive compensation costs during the first nine months of fiscal 2014 were the improvement in our consolidated financial performance and the increase in our share price during the period.  Several of our share-based compensation awards are liability-based and/or performance-based awards, and their cumulative expense to date is adjusted at the end of each period based on the share price on the last day of the reporting period and the ultimate amount of awards expected to vest.
o Increased sales resulted in increased absorption of fixed costs, most notably in our Retail segment’s leverage of fixed occupancy costs.

Upholstery Segment
 
(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
813,345
   
$
750,474
     
8.4
%
Operating income
   
86,547
     
64,892
     
33.4
%
Operating margin
   
10.6
%
   
8.6
%
       
 
Sales
 
Our Upholstery segment’s sales increased $62.9 million in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013, an increase of 8.4%.  Increased volume drove 6.0% of the increase as compared to the prior year, higher selling prices accounted for 1.8% of the increase, with the remainder primarily attributable to favorable changes in product mix.  Changes in product mix most notably included a shift to more stationary sofas and occasional chairs, as well as a higher number of recliners sold in the first nine months of fiscal 2014 as compared to the first nine months of fiscal 2013.  We sold more power units, which have higher average selling prices than units without power, during the first nine months of fiscal 2014 as compared to fiscal 2013, which also contributed to the increase in sales.  We believe the increase in unit volume was a result of our Live life comfortably marketing campaign, the strength of our stationary product introductions and our improved product value and styling.  We also believe these factors continued to drive increased volume for our La-Z-Boy branded business and generated the improved performance of our retail store network, which includes both our company-owned and independent-licensed stores.
 
Operating Margin
 
Our Upholstery segment’s operating margin increased 2.0 percentage points for the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.

· The segment’s gross margin increased 1.9 percentage points during the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013 due to a combination of factors.  Higher unit volume, selling price, product mix changes, and operational efficiencies amounted to a 2.3 percentage points benefit.  These items more than offset the impact of raw material cost increases of 0.8 percentage point.

· The segment’s SG&A expense as a percentage of sales improved 0.1 percentage point for the first nine months of fiscal 2014 as compared to the first nine months of fiscal 2013, due to the favorable absorption of fixed costs resulting from our sales volume increase as compared to the prior year.

Casegoods Segment

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
93,002
   
$
101,748
     
(8.6
)%
Operating income
   
1,161
     
2,381
     
(51.2
)%
Operating margin
   
1.2
%
   
2.3
%
       
 
Sales
 
Our Casegoods segment’s sales showed continued weakness, decreasing $8.7 million in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013, due to lower sales volume of $10.0 million partly offset by an increase in selling prices of $1.3 million.  The replacement cycle is longer for casegoods furniture than for upholstered furniture, given that casegoods furniture is more durable and has a higher average ticket price, and we believe this has negatively impacted our sales in this segment.   In addition, we believe there has a been a shift in consumer preference from formal and traditional product styling to more casual transitional and contemporary product.  Our product line has not shifted quickly enough in response to this change in consumer preference, and we are addressing this with our product refresh program.

Operating Margin

Our Casegoods segment’s operating margin, while still positive, declined by 1.1 percentage points in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.  The decline in operating income was driven by the decline in sales, as well as an inability to absorb costs.

 Retail Segment
 
(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
$
219,845
   
$
191,089
     
15.0
%
Operating income
   
8,264
     
105
     
N/
M
Operating margin
   
3.8
%
   
0.1
%
       
N/M – not meaningful
                       
 
Sales
 
Our Retail segment’s sales increased $28.8 million in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.  Of this increase, approximately $10.5 million was due to the acquisition of nine stores in the southern Ohio market in October 2012.  In addition, $5.1 million of the increase was due to stores we acquired in the Las Vegas market in October 2013 and in northeast Ohio in November 2013.  In addition, we experienced increases in average ticket on traffic that was essentially flat on a same-store basis.  We believe the increase in sales in the first nine months of fiscal 2014 as compared to the first nine months of fiscal 2013 was due to our Live life comfortably marketing campaign, the strength of our stationary product introductions and our improved product value and styling.
 
Operating Margin

Our Retail segment’s operating margin improved 3.7 percentage points in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013.
 
· The segment’s gross margin improved 1.1 percentage points in the first nine months of fiscal 2014 compared to the first nine months of fiscal 2013, benefitting from better product merchandising.

· The segment’s SG&A costs as a percent of sales improved 2.6 percentage points in the first nine months of fiscal 2014, primarily due to greater leverage of fixed SG&A expenses as a percentage of sales resulting from the higher sales volume.  Occupancy costs and administrative costs are the significant drivers of our fixed SG&A expenses.

Corporate and Other

(Unaudited, amounts in thousands, except  percentages)
 
1/25/14
   
1/26/13
   
Percent
Change
 
Sales
 
   
   
 
Corporate and Other
   
1,952
     
1,845
     
5.8
%
Eliminations
   
(110,452
)
   
(99,308
)
   
(11.2
)%
 
                       
Operating income (loss)
                       
Restructuring
   
115
     
(2,633
)
   
N/
M
Corporate and Other
   
(30,173
)
   
(24,046
)
   
(25.5
)%
N/M – not meaningful
                       

Sales

Eliminations increased in the first nine months of fiscal 2014 as compared to the same period in the prior year due to higher sales from our Upholstery and Casegoods segments to our Retail segment as a result of the increased volume in the Retail segment.

Operating Loss

Our Corporate and Other operating loss increased in the first nine months of fiscal 2014 as compared to the first nine months of fiscal 2013.  The increased operating loss was mainly due to higher incentive compensation costs in fiscal 2014 as compared to fiscal 2013.  The main drivers of the increase in incentive compensation costs during the first nine months of fiscal 2014 were the improvement in our consolidated financial performance and the increase in our share price during the period.  Several of our share-based compensation awards are liability-based and/or performance-based awards, and their cumulative expense to date is adjusted at the end of each quarter based on the share price on the last day of the reporting period and the ultimate amount of awards expected to vest.

The $2.6 million restructuring charge recorded in the first nine months of fiscal 2013 mainly related to fixed asset and inventory writedowns associated with the closure of our lumber processing operation in our Casegoods segment.

Other Income

Other income was $1.4 million lower in the first nine months of fiscal 2014 as compared to the first nine months of fiscal 2013, primarily due to higher gains realized on the sales of investments held to fund our non-qualified defined benefit retirement plan during the first nine months of fiscal 2013.

Income Taxes

Our effective tax rate for continuing operations in the first nine months of fiscal 2014 was 33.5% compared to 34.6% for the first nine months of fiscal 2013.  Items impacting our effective tax rate for the first nine months of fiscal 2014 included a tax benefit of $0.9 million in the second quarter for the release of a valuation allowance relating to certain U.S. state deferred tax assets and a net tax benefit of $0.2 million in the third quarter primarily from adjustments to deferred taxes as a result of Mexico tax law changes.  Absent discrete adjustments, the effective tax rate for continuing operations in the first nine months of fiscal 2014 would have been 35.0%.

Liquidity and Capital Resources

Our sources of liquidity include cash and equivalents, short-term and long-term investments, cash from operations and amounts available under our credit facility. We believe these sources remain adequate to meet our short-term and long-term liquidity requirements, finance our long-term growth plans, meet debt service, and fulfill other cash requirements for day-to-day operations, dividends to shareholders and capital expenditures including the construction of our new world headquarters.  We had cash and equivalents of $140.1 million at January 25, 2014, compared to $131.1 million at April 27, 2013.  The increase in cash and equivalents was primarily attributable to net income generated during the first nine months of fiscal 2014, partially offset by cash used to fund increases in inventories, the acquisition of assets through capital expenditures, and transferred cash to investments to increase returns.  We also used cash to purchase shares and to fund dividend payments to shareholders.

We maintain a revolving credit facility secured primarily by all of our accounts receivable, inventory, and cash deposit and securities accounts.  Availability under the agreement fluctuates according to a borrowing base calculated on eligible accounts receivable and inventory.  The credit agreement includes affirmative and negative covenants that apply under certain circumstances, including a 1.05 to 1.00 fixed charge coverage ratio requirement that applies when excess availability under the line is less than 12.5% of the revolving credit commitment of $150 million.  At January 25, 2014, we were not subject to the fixed charge coverage ratio requirement, had no borrowings outstanding under the agreement, and had excess availability of $139.5 million.

Capital expenditures for the first nine months of fiscal 2014 were $23.1 million compared with $21.8 million during the first nine months of fiscal 2013.  We began construction on our new world headquarters during the first quarter of fiscal 2014, a project which is estimated at approximately $57 million.  We expect this project will continue through our third quarter of fiscal 2015.  We expect capital expenditures to be in the range of $13.0 million to $17.0 million in the fourth quarter of fiscal 2014.
 
In fiscal 2013, the board of directors reinstated payment of quarterly cash dividends to our shareholders.  The board of directors has sole authority to determine if and when future dividends will be declared and on what terms.  The board of directors currently expects to continue declaring regular quarterly cash dividends for the foreseeable future but may discontinue doing so at any time.

The following table illustrates the main components of our cash flows:

 
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
   
1/26/13
 
Cash Flows Provided By (Used For)
 
   
 
Net cash provided by operating activities
 
$
62,789
   
$
33,452
 
Net cash used for investing activities
   
(34,333
)
   
(66,772
)
Net cash used for financing activities
   
(18,754
)
   
(7,063
)
Exchange rate changes
   
(675
)
   
(6
)
Change in cash and equivalents
 
$
9,027
   
$
(40,389
)

Operating Activities

During the first nine months of fiscal 2014, net cash provided by operating activities was $62.8 million. Our cash provided by operating activities was mainly the result of net income generated during the first nine months of fiscal 2014.  This was partially offset by cash used to fund increases in inventories of $15.2 million.  The increase in inventories during the first nine months of fiscal 2014 was primarily related to increased raw materials sourced from China in advance of the Chinese New Year holiday and increased finished goods inventory in our distribution centers to support new stores.

During the first nine months of fiscal 2013, net cash provided by operating activities was $33.5 million. Our cash provided by operating activities was mainly the result of net income generated during the first nine months of fiscal 2013.  This was partially offset by cash used to fund increases in inventories of $12.4 million.  We increased inventory to support our sales growth.

Investing Activities

During the first nine months of fiscal 2014, net cash used for investing activities was $34.3 million, including capital expenditures of $23.1 million.  In addition, we invested $12.8 million of excess cash on hand into longer term investments.

During the first nine months of fiscal 2013, net cash used for investing activities was $66.8 million, which consisted primarily of $21.8 million in capital expenditures, a $6.9 million increase in restricted cash, a net $23.7 million in investment purchases, and the acquisition of nine retail stores and a distribution center in the southern Ohio market of $15.8 million, net of cash acquired.  Our restricted cash relates to deposits serving as collateral for certain letters of credit, and $22.6 million of our investment purchases were intended to enhance returns on our excess cash.

Financing Activities

During the first nine months of fiscal 2014, net cash used for financing activities was $18.8 million primarily related to the purchases of common stock and payment of our quarterly dividends.

Net cash used for financing activities in the first nine months of fiscal 2013 was $7.1 million mostly related to the repayment of debt and purchases of common stock.
 
Our board of directors has authorized the purchase of company stock. As of January 25, 2014, 3.3 million shares remained available for purchase pursuant to this authorization.  We purchased 0.9 million shares during the first nine months of fiscal 2014, for a total of $20.3 million.  With the cash flows we anticipate generating in fiscal 2014, we expect to continue being opportunistic in purchasing company stock.
Other

Our consolidated balance sheet at the end of the third quarter of fiscal 2014 reflected a $1.4 million net liability for uncertain income tax positions.  It is reasonably possible that $0.2 million of this liability will be settled within the next 12 months.  The remaining balance will be paid or released as tax audits are completed or settled, statutes of limitation expire or other new information becomes available.

During the third quarter of fiscal 2014, there were no material changes to the information about our contractual obligations shown in the table contained in our fiscal 2013 Annual Report on Form 10-K.
 
Our debt-to-capitalization ratio was 1.5% at January 25, 2014, compared to 1.6% at April 27, 2013.  Capitalization is defined as total debt plus total equity.
 
Continuing compliance with existing federal, state and local statutes dealing with protection of the environment is not expected to have a material effect upon our capital expenditures, earnings, competitive position or liquidity.
 
Critical Accounting Policies
 
Our critical accounting policies are disclosed in our Form 10-K for the year ended April 27, 2013.  There were no material changes to our critical accounting policies during the first nine months of fiscal 2014.
 
Business Outlook

We remain optimistic about our ability to continue to grow profitably in the future.  The cadence of our business remains strong, particularly as we head into the fourth quarter, which is historically our largest volume period.  Our integrated retail strategy has proven to be the right one, and we are building on it with our store expansion program. We will continue to make investments in the enterprise to grow, prosper and return value to shareholders.

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK
 
During the first nine months of fiscal 2014, there were no material changes from the information contained in Item 7A of our Annual Report on Form 10-K for fiscal 2013.
 
ITEM 4. CONTROLS AND PROCEDURES
 
Disclosure Controls and Procedures. As of the end of the period covered by this report, we carried out an evaluation, under the supervision and with the participation of our management, including our Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of our disclosure controls and procedures, as such term is defined in Rule 13a-15(e) of the Exchange Act.  Based upon that evaluation, our Chief Executive Officer and Chief Financial Officer concluded that such disclosure controls and procedures are effective to ensure that information required to be disclosed in our periodic reports filed under the Exchange Act is recorded, processed, summarized and reported within the time periods specified by the Securities and Exchange Commission's rules and forms and is accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, as appropriate to allow timely decisions regarding required disclosure.
Changes in Internal Control over Financial Reporting.  We are implementing an enterprise resource planning ("ERP") system in our largest operating unit. The implementation is expected to occur in phases over the next several years.  The implementation of an ERP system will affect the processes that constitute our internal control over financial reporting and will require testing for effectiveness as the implementation progresses.  There were no changes in our internal controls over financial reporting that occurred during the fiscal quarter ended January 25, 2014, that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

PART II — OTHER INFORMATION
 
ITEM 1A.  RISK FACTORS
 
Our risk factors are disclosed in our Form 10-K for the fiscal year ended April 27, 2013.  There have been no material changes to our risk factors during the first nine months of fiscal 2014.
 
ITEM 2. UNREGISTERED SALES OF EQUITY SECURITIES AND USE OF PROCEEDS
 
Our board of directors has authorized the purchase of company stock. As of January 25, 2014, 3.3 million shares remained available for purchase pursuant to this authorization.  We purchased 0.9 million shares during the first nine months of fiscal 2014, for a total of $20.3 million.  During the third quarter of fiscal 2014, pursuant to the existing board authorization, we adopted a plan to purchase company stock in accordance with Rule 10b5-1 of the Securities Exchange Act of 1934.  The 10b5-1 plan was effective January 2, 2014.  Under this plan, our broker has the authority to purchase company shares on our behalf, subject to SEC regulations and the price, market volume and timing constraints specified in the plan.  The 10b5-1 plan expires at the close of business on March 31, 2014.  With the cash flows we anticipate generating in fiscal 2014, we expect to continue being opportunistic in purchasing company stock.
 
The following table summarizes our purchases of company stock during the quarter ended January 25, 2014:
 
(Amounts in thousands, except per share data)
 
Total number of shares purchased
   
Average price paid per share
   
Total number of shares purchased as part of publicly announced plan (1)
   
Maximum number of shares that may yet be purchased under the plan
 
Fiscal November (October 27 – November 30, 2013)
   
65
   
$
24.04
     
65
     
3,451
 
Fiscal December (December 1 – December 28, 2013)
   
95
   
$
29.43
     
95
     
3,356
 
Fiscal January (December 29, 2013 – January 25, 2014)
   
75
   
$
29.62
     
75
     
3,281
 
Fiscal Third Quarter of 2014
   
235
   
$
28.00
     
235
     
3,281
 

(1) On October 28, 1987, our board of directors announced the authorization of the plan to repurchase company stock.  The plan originally authorized 1.0 million shares and subsequent to October 1987, 22.0 million shares have been added to this plan for repurchase.  The authorization has no expiration date.
ITEM 6. EXHIBITS

Exhibit Number
Description
Certifications of Chief Executive Officer pursuant to Rule 13a-14(a)
Certifications of Chief Financial Officer pursuant to Rule 13a-14(a)
Certifications of Executive Officers pursuant to 18 U.S.C. Section 1350(b)
(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 Extension Definition Linkbase Document

SIGNATURE
 
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.
 
  LA-Z-BOY INCORPORATED
 
 
(Registrant)

Date: February 18, 2014
 
 
 
 
BY:  /s/ Margaret L. Mueller
 
 
 
Margaret L. Mueller
 
Corporate Controller
 
On behalf of the Registrant and as
 
Chief Accounting Officer
 
 
36

EX-31.1 2 ex31_1.htm EXHIBIT 31.1

Exhibit 31.1
 
CERTIFICATIONS OF CHIEF EXECUTIVE OFFICER
PURSUANT TO RULE 13a-14(a)
 
I, Kurt L. Darrow, certify that:
 
1.       I have reviewed this quarterly report on Form 10-Q of La-Z-Boy Incorporated;
 
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 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(s) 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(s) 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.
 
Date:  February 18, 2014 /s/ Kurt L. Darrow
 
Kurt L. Darrow
Chairman, President and Chief Executive Officer
 
 

EX-31.2 3 ex31_2.htm EXHIBIT 31.2


Exhibit 31.2
 
CERTIFICATIONS OF CHIEF FINANCIAL OFFICER
PURSUANT TO RULE 13a-14(a)
 
I, Louis M. Riccio, Jr., certify that:
 
1.      I have reviewed this quarterly report on Form 10-Q of La-Z-Boy Incorporated;
 
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 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(s) 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(s) 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.
 
Date:  February 18, 2014
/s/ Louis M. Riccio, Jr.
 
Louis M. Riccio, Jr.
Senior Vice President and Chief Financial Officer
 
 

EX-32 4 ex32.htm EXHIBIT 32

EXHIBIT (32)
 
CERTIFICATION OF EXECUTIVE OFFICERS*
 
Pursuant to 18 U.S.C. section 1350, each of the undersigned officers of La-Z-Boy Incorporated (the “Company”) hereby certifies, to such officer’s knowledge, that the Company’s Quarterly Report on Form 10-Q for the period ended January 25, 2014 (the “Report”) fully complies with the requirements of section 13(a) or 15(d), as applicable, of the Securities Exchange Act of 1934 and the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
/s/ Kurt L. Darrow
 
Kurt L. Darrow
Chairman, President and Chief Executive Officer
February 18, 2014
 
 
/s/ Louis M. Riccio, Jr.
 
Louis M. Riccio, Jr.
Senior Vice President and Chief Financial Officer
February 18, 2014
 
*The foregoing certification is being furnished solely pursuant to 18 U.S.C. section 1350 and is not being filed as part of the Report or as a separate disclosure document.
 
 


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valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">1,553</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: top;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">13,364</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: top;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">9,403</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: top;">&#160;</td></tr></table><div><br /></div><div style="text-align: center; font-family: ''Times New Roman'', Times, serif; font-size: 10pt;"></div><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">The table below summarizes the grants made during the first nine months of fiscal 2014:</div><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">&#160;</div><table align="left" border="0" cellpadding="0" cellspacing="0" style="border-bottom: medium none; border-left: medium none; width: 90%; font-family: 'Times New Roman', Times, serif; font-size: 10pt; border-top: medium none; border-right: medium none;"><tr><td style="border-bottom: #000000 2px solid; border-left: medium none; width: 39%; vertical-align: bottom; border-top: medium none; border-right: medium none;"><div style="text-align: left; 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retirement.&#160; The fair value for the employee stock options granted was estimated at the date of the grant using the Black-Scholes option-pricing model, which requires management to make certain assumptions.&#160; Expected volatility was estimated based on the historical volatility of our common shares.&#160; The average expected life was based on the contractual term of the stock option and expected employee exercise and post-vesting employment termination trends.&#160; The risk-free rate was based on U.S. Treasury issues with a term equal to the expected life assumed at the date of the grant.</div><div><br /></div><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">The fair value of stock options granted during the first quarter of fiscal 2014 was calculated using the following assumptions:</div><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; font-size: 10pt;">&#160;</div><table align="left" border="0" 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Dividend rate (in hundredths) Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Expected Dividend Rate Fair value per share (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value Fair value assumptions [Abstract] Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions and Methodology [Abstract] Options granted (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Net of Forfeitures Weighted average exercise price (in dollars per share) Award Type [Domain] Liability for uncertain tax positions to be settled within 12 months Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Amount of Unrecorded Benefit Warranty term Amount of product warranty liability included in accrued expenses and other current liabilities Statement [Table] Statement [Line Items] CONSOLIDATED STATEMENT OF CHANGES IN EQUITY (Unaudited) [Abstract] CONSOLIDATED STATEMENT OF CASH FLOWS (Unaudited) [Abstract] Statement, Business Segments [Axis] Business Segments [Axis] Statement, Equity Components [Axis] Equity Components [Axis] CONSOLIDATED BALANCE SHEET (Unaudited) [Abstract] CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (Unaudited) [Abstract] Performance Share Units [Member] Stock Compensation Plan [Member] Stock Options [Member] Stock-based compensation expense recognized consolidated statement of income Purchases of common stock Stock Repurchased During Period, Value Stock Appreciation Rights (SARs) [Member] Stock Appreciation Rights (SARs) [Member] Stock issued for stock and employee benefit plans, net of cancellations Balance Balance Total equity Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest Shareholders' equity Total La-Z-Boy Incorporated shareholders' equity Stockholders' Equity Attributable to Parent Title of Individual with Relationship to Entity [Domain] Trade Names [Member] Trading securities, current Trading securities Trading Securities, Fair Value Disclosure Income allocated to participating securities Undistributed Earnings Allocated to Participating Securities Summary of investments Valuation and Qualifying Accounts Disclosure [Table] Valuation Allowances and Reserves [Domain] Valuation Technique [Axis] Valuation Technique [Domain] Valuation and Qualifying Accounts Disclosure [Line Items] Valuation Allowances and Reserves Type [Axis] Add [Abstract] Weighted Average Number Diluted Shares Outstanding Adjustment [Abstract] Denominator [Abstract] Weighted Average Number of Shares Outstanding, Diluted [Abstract] Basic average shares (in shares) Basic weighted average common shares outstanding (in shares) Diluted average shares (in shares) Diluted weighted average common shares outstanding (in shares) Weighted Average Number of Shares Outstanding, Diluted Bauhaus Operating unit. Bauhaus Operating unit [Member] Goodwill [Member] Business acquired during the period. Independent La-Z-Boy Furniture Galleries [Member] Numerator (basic and diluted): [Abstract] Numerator (basic and diluted) [Abstract] Amount before tax of reclassification adjustments of other comprehensive income (loss). Reclassification From Accumulated Other Comprehensive Income Current Period Before Tax Amounts reclassified to net income Amount before tax and reclassification adjustments of other comprehensive income (loss). Other Comprehensive Income Loss Before Reclassifications Before Tax Changes before reclassifications Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. Accumulated Other Comprehensive Income Loss [Line Items] Disclosure of information about components of accumulated other comprehensive income (loss). Accumulated Other Comprehensive Income Loss [Table] Tabular disclosure of the components of noncontrolling interest. Components of Non-controlling Interest [Table Text Block] Components of non-controlling interest A component of an entity for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Retail Group [Member] Retail Segment [Member] Represents the number of operating units. Number of operating units Represents the number of primary markets. Number of primary markets Attributes of both performance based units and performance based shares. Performance based units and Performance based shares [Member] Expense recognized during the period for liability based awards. Expense recognized for liability based awards Liability-based awards expense (income) Represents percentages of employees target award. Percentages of employees target award Percentage of grants with performance vesting (in hundredths) Represents percentages of share based payment award that vests each year from the date of grant. Percentages of share based payment award exercisable vesting in each year from date of grant Percentages of share based payment award percent vesting each year from date of grant (in hundredths) Monte Carlo valuation technique model used to measure fair value. Monte Carlo Valuation Model [Member] Monte Carlo Valuation Model [Member] Person serving on the responsibility for the entity. Employees [Member] Percentage of grants with market-based vesting provisions. Percentage of grants with market based vesting Percentage of grants with market-based vesting (in hundredths) The intrinsic value of liability-based payment equity instruments, excluding stock or unit options, granted during the reporting period as calculated by applying the disclosed option pricing methodology. Share based Compensation Arrangement by Share-based Payment Award, Instruments Other than Options, Granted in Period, Intrinsic Value Fair value of shares (in dollars per unit) For share-based compensation awards, this represents the common share equivalent per award share or unit. Share based compensation, award common share equivalent Award common share equivalent (in shares) Performance period to achieve certain financial goals relating to performance awards. Performance awards, performance period Performance awards, performance period Warranty liabilities related to discontinued operations reclassed to discontinued operations during the period. Reclass to discontinued operations Represents warranty information related to certain mechanisms and frames. Certain Mechanisms and Frames [Member] Represents warranty information related to padding. Padding [Member] Represents warranty information related to fabric and leather. Fabric and Leather [Member] Labor costs relating to parts. Labor Costs Relating To Parts [Member] Labor Costs Relating to Parts [Member] Percentage of warranty liability relates to Upholstery Group. Percentage of warranty liability relates to Upholstery Group Percentage of warranty liability relating to Upholstery Group (in hundredths) Represents Stock Appreciation Rights (SARs) granted remeasured during the fiscal year 2013. Grant 2013 Remeasured [Member] 2013 Grant Remeasured [Member] Represents Stock Appreciation Rights (SARs) granted remeasured during the fiscal year 2014. Grant 2014 Remeasured [Member] 2014 Grant Remeasured [Member] Tabular disclosure of the significant assumptions used during the year to estimate the fair value of stock options and SARs , including, but not limited to: (a) expected term of share options and similar instruments, (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 Payment Award, Stock Options and SARs, Valuation Assumptions [Table Text Block] Valuation Assumptions Schedule of grants during the period for stock options, SARs, restricted stock units, performance-based units and performance based shares. Schedule of grants made during the period [Table Text Block] Schedule of grants made during the period Document and Entity Information [Abstract] Gross notes receivable written off during the period. Gross notes receivable written off during the period Notes receivable written off during the period Amount due from customers, clients, or other third-parties, or arising from transactions not separately disclosed. Notes receivable Notes receivable, gross Number of customers with notes receivable balance. Number of customers with notes receivable balance Number of customers with notes receivable balance Allowance for Credit Losses [Abstract] Represents amount of investment which enhance return on cash. 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Product Warranties (Details) (USD $)
3 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 26, 2013
Jan. 25, 2014
Jan. 26, 2013
Apr. 27, 2013
Product Warranty Contingency [Line Items]          
Percentage of warranty liability relating to Upholstery Group (in hundredths)     90.00%    
Reconciliation of changes in product warranty liability [Roll Forward]          
Balance as of the beginning of the period $ 15,929,000 $ 14,313,000 $ 15,525,000 $ 14,327,000  
Accruals during the period 3,026,000 4,143,000 10,698,000 11,050,000  
Reclass to discontinued operations (218,000) 0 (218,000) 0  
Settlements during the period (3,615,000) (3,692,000) (10,883,000) (10,613,000)  
Balance as of the end of the period 15,122,000 14,764,000 15,122,000 14,764,000  
Amount of product warranty liability included in accrued expenses and other current liabilities $ 9,200,000   $ 9,200,000   $ 9,500,000
Fabric and Leather [Member]
         
Product Warranty Contingency [Line Items]          
Warranty term     1 year    
Padding [Member]
         
Product Warranty Contingency [Line Items]          
Warranty term     1 to 10 years    
Certain Mechanisms and Frames [Member]
         
Product Warranty Contingency [Line Items]          
Warranty term     Up to a lifetime    
Labor Costs Relating to Parts [Member]
         
Product Warranty Contingency [Line Items]          
Warranty term     1 year    
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Discontinued Operations (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 26, 2013
Jan. 25, 2014
Jan. 26, 2013
Discontinued Operations [Abstract]        
Impairment of asset to be disposed of     $ 1,149 $ 0
Results of the discontinued operations [Abstract]        
Income (loss) from discontinued operations (717) 291 (864) 465
Bauhaus Operating unit [Member]
       
Results of the discontinued operations [Abstract]        
Net sales 9,101 8,937 27,100 27,142
Income (loss) from discontinued operations (including impairment of $1.1 million in fiscal 2014) (1,097) 468 (1,323) 747
Income tax benefit (expense) 380 (177) 459 (282)
Income (loss) from discontinued operations (717) 291 (864) 465
Assets and Liabilities of discontinued operations [Abstract]        
Receivables, net 3,672   3,672  
Inventories, net 4,683   4,683  
Other current assets 50   50  
Property, plant, and equipment, net 518   518  
Total assets 8,923   8,923  
Accounts payable 1,777   1,777  
Accrued expenses and other current liabilities 876   876  
Total liabilities $ 2,653   $ 2,653  

XML 15 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations (Tables)
9 Months Ended
Jan. 25, 2014
Discontinued Operations [Abstract]  
Income statement and balance sheet of discontinued operations [Table Text Block]
The results of the discontinued operations for Bauhaus for the third quarter and first nine months of fiscal 2014 and fiscal 2013 were as follows:
 
 
 
Third Quarter Ended
  
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
  
1/26/13
  
1/25/14
  
1/26/13
 
Net sales
 
$
9,101
  
$
8,937
  
$
27,100
  
$
27,142
 
 
                
Income (loss) from discontinued operations (including impairment of $1.1 million in fiscal 2014)
 
$
(1,097
)
 
$
468
  
$
(1,323
)
 
$
747
 
Income tax benefit (expense)
  
380
   
(177
)
  
459
   
(282
)
Income (loss) from discontinued operations, net of tax
 
$
(717
)
 
$
291
  
$
(864
)
 
$
465
 

The assets and liabilities of Bauhaus that were classified as held for sale are as follows:

(Unaudited, amounts in thousands)
 
1/25/14
 
Assets
 
 
Receivables, net
 
$
3,672
 
Inventories, net
  
4,683
 
Other current assets
  
50
 
Property, plant, and equipment, net
  
518
 
Total assets
 
$
8,923
 
 
    
Liabilities
    
Accounts payable
 
$
1,777
 
Accrued expenses and other current liabilities
  
876
 
Total liabilities
 
$
2,653
 
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Goodwill and Other Intangible Assets (Tables)
9 Months Ended
Jan. 25, 2014
Goodwill and Other Intangible Assets [Abstract]  
Roll-forward of goodwill
The following is a roll-forward of goodwill for the nine months ended January 25, 2014:

 
Goodwill
(Unaudited, amounts in thousands)
 
Goodwill
 
Balance at April 27, 2013
 
$
12,837
 
Acquisitions during fiscal 2014
  
1,086
 
Balance at January 25, 2014
 
$
13,923
 
Rollforward of other intangible assets
The following is a roll-forward of other intangible assets for the nine months ended January 25, 2014:

 
Other Intangible Assets
(Unaudited, amounts in thousands)
 
Tradenames
  
Reacquired
Rights
  
Total Other
Intangible
Assets
 
Balance at April 27, 2013
 
$
2,693
  
$
2,145
  
$
4,838
 
Acquisitions during fiscal 2014
  
   
1,093
   
1,093
 
Balance at January 25, 2014
 
$
2,693
  
$
3,238
  
$
5,931
 
XML 18 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 26, 2013
Jan. 25, 2014
Jan. 26, 2013
Segment Reporting Information [Line Items]        
Sales $ 350,375 $ 340,211 $ 1,017,692 $ 945,848
Operating Income (Loss) 25,449 22,812 65,914 40,699
Restructuring [Member]
       
Segment Reporting Information [Line Items]        
Operating Income (Loss) 60 (30) 115 (2,633)
Upholstery Segment [Member]
       
Segment Reporting Information [Line Items]        
Number of operating units 2   2  
Sales to external customers 242,492 236,428 710,162 657,073
Intersegment sales 37,780 34,622 103,183 93,401
Sales 280,272 271,050 813,345 750,474
Operating Income (Loss) 31,560 27,909 86,547 64,892
Casegoods Segment [Member]
       
Segment Reporting Information [Line Items]        
Number of operating units 4   4  
Sales to external customers 27,267 30,496 85,733 95,841
Intersegment sales 2,367 2,115 7,269 5,907
Sales 29,634 32,611 93,002 101,748
Operating Income (Loss) (41) 200 1,161 2,381
Retail Segment [Member]
       
Segment Reporting Information [Line Items]        
Number of stores 100   100  
Number of primary markets 12   12  
Sales 80,212 72,772 219,845 191,089
Operating Income (Loss) 3,087 2,668 8,264 105
Corporate and Other [Member]
       
Segment Reporting Information [Line Items]        
Sales 404 515 1,952 1,845
Operating Income (Loss) (9,217) (7,935) (30,173) (24,046)
Eliminations [Member]
       
Segment Reporting Information [Line Items]        
Sales $ (40,147) $ (36,737) $ (110,452) $ (99,308)
XML 19 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangible Assets (Details) (USD $)
9 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 25, 2014
Trade Names [Member]
Jan. 25, 2014
Reacquired Rights [Member]
Jan. 25, 2014
Franchise Rights [Member]
Oct. 26, 2013
Franchise Rights [Member]
Jan. 25, 2014
Goodwill [Member]
Jan. 25, 2014
Independent La-Z-Boy Furniture Galleries [Member]
Oct. 26, 2013
Independent La-Z-Boy Furniture Galleries [Member]
Business Acquisition [Line Items]                
Value of acquisition             $ 1,400,000 $ 1,600,000
Cash paid to dealer             800,000  
Goodwill [Roll Forward]                
Balance at Beginning of period 12,837,000         12,837,000    
Acquisitions during the period           1,086,000    
Balance at End of period 13,923,000         13,923,000    
Rollforward of other intangible assets [Roll Forward]                
Balance at the beginning of the period (Excluding Goodwill) 4,838,000 2,693,000 2,145,000 500,000 600,000      
Acquisitions during the period 1,093,000 0 1,093,000          
Balance at the end of the period (Excluding Goodwill) $ 5,931,000 $ 2,693,000 $ 3,238,000 $ 500,000 $ 600,000      
XML 20 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Allowance for Credit Losses
9 Months Ended
Jan. 25, 2014
Allowance for Credit Losses [Abstract]  
Allowance for Credit Losses
Note 2: Allowance for Credit Losses
 
As of January 25, 2014, we had gross notes receivable of $4.5 million outstanding from five customers, with a corresponding allowance for credit losses of $0.2 million.  We have collateral from these customers in the form of inventory and/or real estate to support the net carrying value of these notes.  We do not accrue interest income on these notes receivable, but we record interest income when it is received.  During the nine months ended January 25, 2014, $2.7 million of our notes receivable and a corresponding $1.9 million of allowance for credit losses were written off, primarily related to our acquisition of the assets of two independent La-Z-Boy Furniture Galleries® dealers during the period.  Of the $4.5 million in notes receivable as of January 25, 2014, $0.6 million is expected to be repaid in the next twelve months, and was categorized as receivables in our consolidated balance sheet.  The remainder of the notes receivable and the entire allowance for credit losses were categorized as other long-term assets.

The following is an analysis of the allowance for credit losses related to our notes receivable as of and for the quarter and nine months ended January 25, 2014, and January 26, 2013:

 
 
Third Quarter Ended
  
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
  
1/26/13
  
1/25/14
  
1/26/13
 
Beginning balance
 
$
158
  
$
1,481
  
$
1,986
  
$
1,537
 
Recoveries
  
   
(17
)
  
   
(73
)
Write-offs
  
   
   
(1,888
)
  
 
Provision for credit losses
  
   
   
60
   
 
Ending balance
 
$
158
  
$
1,464
  
$
158
  
$
1,464
 
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M("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO7!E.B!T97AT+VAT M;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\>&UL('AM;&YS.F\],T0B=7)N M.G-C:&5M87,M;6EC XML 22 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 26, 2013
Jan. 25, 2014
Jan. 26, 2013
Income Taxes [Abstract]        
Effective tax rate (in hundredths) 33.20% 33.20% 33.50% 34.60%
Liability for uncertain tax positions $ 1.4   $ 1.4  
Liability for uncertain tax positions to be settled within 12 months 0.2   0.2  
Tax benefit on change in valuation allowance     $ 0.2  
Tax rate absent the valuation allowance adjustment (in hundredths)     35.00%  
XML 23 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Loss (Tables)
9 Months Ended
Jan. 25, 2014
Accumulated Other Comprehensive Loss [Abstract]  
Activity in accumulated other comprehensive loss
The activity in accumulated other comprehensive loss for the first nine months of fiscal 2014 is as follows:

 
 
  
  
  
 
 (Unaudited, amounts in thousands)
 
Unrealized
gain on
marketable
securities
  
Translation
adjustment
  
Change in
fair value
of cash
flow hedge
  
Net pension
amortization
and net
actuarial
loss
  
Accumulated
other
comprehensive
loss
 
Balance at April 27, 2013
 
$
474
  
$
4,779
  
$
231
  
$
(40,980
)
 
$
(35,496
)
Changes before reclassifications
  
1,161
   
(1,669
)
  
(1,040
)
  
   
(1,548
)
Amounts reclassified to net income
  
(282
)
  
   
179
   
2,676
   
2,573
 
Tax effect
  
(339
)
  
   
332
   
(1,034
)
  
(1,041
)
Other comprehensive income (loss) attributable to La-Z- Boy Incorporated
  
540
   
(1,669
)
  
(529
)
  
1,642
   
(16
)
Balance at January 25, 2014
 
$
1,014
  
$
3,110
  
$
(298
)
 
$
(39,338
)
 
$
(35,512
)
Components of non-controlling interest
The components of non-controlling interest at January 25, 2014, and January 26, 2013, were as follows:

(Unaudited, amounts in thousands)
 
 
Balance at April 27, 2013
 
$
7,140
 
Net income
  
1,006
 
Other comprehensive loss
  
(861
)
Change in non-controlling interest
  
99
 
Balance at January 25, 2014
 
$
7,384
 
 
(Unaudited, amounts in thousands)
    
Balance at April 28, 2012
 
$
5,911
 
Net income
  
609
 
Other comprehensive income
  
184
 
Change in non-controlling interest
  
97
 
Balance at January 26, 2013
 
$
6,801
 
XML 24 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation (Tables)
9 Months Ended
Jan. 25, 2014
Stock-Based Compensation [Abstract]  
Stock-based compensation expense recognized in consolidated statement of income
The table below summarizes the total stock-based compensation expense recognized for all outstanding grants in our consolidated statement of income:
 
 
 
Third Quarter Ended
  
Nine Months Ended
 
(Unaudited, amounts in thousands)
 
1/25/14
  
1/26/13
  
1/25/14
  
1/26/13
 
Equity-based awards expense
 
$
1,700
  
$
1,239
  
$
7,371
  
$
8,198
 
Liability-based awards expense
  
2,203
   
314
   
5,993
   
1,205
 
Total stock-based compensation expense
 
$
3,903
  
$
1,553
  
$
13,364
  
$
9,403
 
Schedule of grants made during the period
The table below summarizes the grants made during the first nine months of fiscal 2014:
 
(Unaudited, shares/units in thousands)
 
Shares/units
granted
 
Liability/
Equity
award
 
Settlement
Stock options
 
175
 
Equity
 
Common shares
Stock appreciation rights (“SARs”)
 
142
 
Liability
 
Cash
Restricted stock units – employees
 
125
 
Liability
 
Cash
Restricted stock units – directors
 
34
 
Equity
 
Common shares
Performance-based units
 
35
 
Liability
 
Cash
Performance-based shares
 
191
 
Equity
 
Common shares
Stock Options [Member]
 
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]  
Valuation Assumptions
The fair value of stock options granted during the first quarter of fiscal 2014 was calculated using the following assumptions:
 
(Unaudited)
 
7/27/13
 
Risk-free interest rate
  
0.84
%
Dividend rate
  
0.84
%
Expected life in years
  
5.0
 
Stock price volatility
  
81.3
%
Fair value per share
 
$
11.63
 
Stock Appreciation Rights (SARs) [Member] | 2014 Grant Remeasured [Member]
 
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]  
Valuation Assumptions
The fair value of the SARs granted during the first quarter of fiscal 2014 was remeasured at January 25, 2014, using the following assumptions:
 
(Unaudited)
 
1/25/14
 
Risk-free interest rate
  
1.58
%
Dividend rate
  
0.90
%
Expected life in years
  
4.39
 
Stock price volatility
  
53.14
%
Fair value per share
 
$
13.94
 
Stock Appreciation Rights (SARs) [Member] | 2013 Grant Remeasured [Member]
 
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]  
Valuation Assumptions
In fiscal 2013, we granted SARs as described in our Form 10-K for the fiscal year ended April 27, 2013.  The fair value of the SARs granted during fiscal 2013 was remeasured at January 25, 2014, using the following assumptions:
 
(Unaudited)
 
1/25/14
 
Risk-free interest rate
  
0.69
%
Dividend rate
  
0.90
%
Expected life in years
  
3.46
 
Stock price volatility
  
50.44
%
Fair value per share
 
$
16.31
 
XML 25 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings per Share (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Jan. 25, 2014
Jan. 26, 2013
Jan. 25, 2014
Jan. 26, 2013
Numerator (basic and diluted) [Abstract]        
Net income attributable to La-Z-Boy Incorporated $ 16,483 $ 17,064 $ 42,817 $ 28,081
Income allocated to participating securities (100) (218) (354) (401)
Net income available to common shareholders $ 16,383 $ 16,846 $ 42,463 $ 27,680
Denominator [Abstract]        
Basic weighted average common shares outstanding (in shares) 52,516,000 52,431,000 52,465,000 52,327,000
Add [Abstract]        
Contingent common shares 361,000 438,000 501,000 345,000
Stock option dilution (in shares) 349,000 532,000 413,000 529,000
Diluted weighted average common shares outstanding (in shares) 53,226,000 53,401,000 53,379,000 53,201,000
Outstanding options to purchase shares (in shares) 0 200,000 0 200,000
Weighted average exercise price (in dollars per share)   $ 20.74   $ 20.74
XML 26 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information (Tables)
9 Months Ended
Jan. 25, 2014
Segment Information [Abstract]  
Segment information
Our reportable operating segments are the Upholstery segment, the Casegoods segment and the Retail segment.
 
Upholstery Segment.  The Upholstery segment consists of two operating units: La-Z-Boy and England.  This segment manufactures or imports upholstered furniture. Upholstered furniture includes recliners and motion furniture, sofas, loveseats, chairs, sectionals, modulars, ottomans and sleeper sofas.  The Upholstery segment sells directly to La-Z-Boy Furniture Galleries® stores, operators of Comfort Studios® locations, major dealers and other independent retailers.

Casegoods Segment. The Casegoods segment consists of four brands: American Drew, Lea, Hammary, and Kincaid.  This segment sells imported or manufactured wood furniture to furniture retailers.  Casegoods product includes bedroom, dining room, entertainment centers, occasional pieces and some coordinated upholstered furniture.  The Casegoods segment sells to major dealers and other independent retailers.

Retail Segment. The Retail segment consists of 100 company-owned La-Z-Boy Furniture Galleries® stores in 12 primary markets.  The Retail segment sells upholstered furniture, in addition to some casegoods and other accessories, to end consumers through the retail network.
 
 
Third Quarter Ended
  
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
  
1/26/13
  
1/25/14
  
1/26/13
 
Sales
 
  
  
  
 
Upholstery segment:
 
  
  
  
 
Sales to external customers
 
$
242,492
  
$
236,428
  
$
710,162
  
$
657,073
 
Intersegment sales
  
37,780
   
34,622
   
103,183
   
93,401
 
Upholstery segment sales
  
280,272
   
271,050
   
813,345
   
750,474
 
Casegoods segment:
                
Sales to external customers
  
27,267
   
30,496
   
85,733
   
95,841
 
Intersegment sales
  
2,367
   
2,115
   
7,269
   
5,907
 
Casegoods segment sales
  
29,634
   
32,611
   
93,002
   
101,748
 
 
                
Retail segment sales
  
80,212
   
72,772
   
219,845
   
191,089
 
Corporate and Other
  
404
   
515
   
1,952
   
1,845
 
Eliminations
  
(40,147
)
  
(36,737
)
  
(110,452
)
  
(99,308
)
Consolidated sales
 
$
350,375
  
$
340,211
  
$
1,017,692
  
$
945,848
 
 
                
Operating Income (Loss)
                
Upholstery segment
 
$
31,560
  
$
27,909
  
$
86,547
  
$
64,892
 
Casegoods segment
  
(41
)
  
200
   
1,161
   
2,381
 
Retail segment
  
3,087
   
2,668
   
8,264
   
105
 
Restructuring
  
60
   
(30
)
  
115
   
(2,633
)
Corporate and Other
  
(9,217
)
  
(7,935
)
  
(30,173
)
  
(24,046
)
Consolidated operating income
 
$
25,449
  
$
22,812
  
$
65,914
  
$
40,699
 
XML 27 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings per Share (Tables)
9 Months Ended
Jan. 25, 2014
Earnings per Share [Abstract]  
Reconciliation of numerators and denominators used in the computations of basic and diluted earnings per share
A reconciliation of the numerators and denominators used in the computations of basic and diluted earnings per share is as follows:

 
 
Third Quarter Ended
  
Nine Months Ended
 
 (Unaudited, amounts in thousands)
 
1/25/14
  
1/26/13
  
1/25/14
  
1/26/13
 
Numerator (basic and diluted):
 
  
  
  
 
Net income attributable to La-Z-Boy Incorporated
 
$
16,483
  
$
17,064
  
$
42,817
  
$
28,081
 
Income allocated to participating securities
  
(100
)
  
(218
)
  
(354
)
  
(401
)
Net income available to common Shareholders
 
$
16,383
  
$
16,846
  
$
42,463
  
$
27,680
 
 
                
Denominator:
                
Basic weighted average common shares Outstanding
  
52,516
   
52,431
   
52,465
   
52,327
 
Add:
                
Contingent common shares
  
361
   
438
   
501
   
345
 
Stock option dilution
  
349
   
532
   
413
   
529
 
Diluted weighted average common shares Outstanding
  
53,226
   
53,401
   
53,379
   
53,201
 
XML 28 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation
9 Months Ended
Jan. 25, 2014
Basis of Presentation [Abstract]  
Basis of Presentation
Note 1: Basis of Presentation
 
The accompanying consolidated financial statements include the consolidated accounts of La-Z-Boy Incorporated and our majority-owned subsidiaries.  The April 27, 2013, balance sheet was derived from our audited financial statements.  The interim financial information is prepared in conformity with generally accepted accounting principles, and such principles are applied on a basis consistent with those reflected in our fiscal 2013 Annual Report on Form 10-K filed with the Securities and Exchange Commission, but does not include all the disclosures required by generally accepted accounting principles.  In the opinion of management, the interim financial information includes all adjustments and accruals, consisting only of normal recurring adjustments (except as otherwise disclosed), which are necessary for a fair presentation of results for the respective interim period.  The interim results reflected in the accompanying financial statements are not necessarily indicative of the results of operations which will occur for the full fiscal year ending April 26, 2014.

During the third quarter of fiscal 2014, we agreed in principle to sell our Bauhaus operating unit to a group of investors.  The agreement includes the sale of substantially all of the assets of our Bauhaus business unit.  As a result of the expected sale, our Bauhaus business unit assets are reported as held for sale as of the end of the third quarter of fiscal 2014, and their operating results are reported as discontinued operations for all periods presented.
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    Fair Value Measurements (Tables)
    9 Months Ended
    Jan. 25, 2014
    Fair Value Measurements [Abstract]  
    Schedule of assets measured at fair value on recurring basis
    The following table presents the fair value hierarchy for those assets measured at fair value on a recurring basis at January 25, 2014, and April 27, 2013:

    As of January 25, 2014
     
     
     
    Fair Value Measurements
     
    (Unaudited, amounts in thousands)
     
    Level 1(a)
      
    Level 2(a)
      
    Level 3
     
    Assets
     
      
      
     
    Available-for-sale securities
     
    $
    1,225
      
    $
    51,154
      
    $
     
    Trading securities
      
       
    1,604
       
     
    Total
     
    $
    1,225
      
    $
    52,758
      
    $
     
     
    (a)There were no transfers between Level 1 and Level 2 during fiscal 2014.

    As of April 27, 2013
     
     
     
    Fair Value Measurements
     
    (Unaudited, amounts in thousands)
     
    Level 1(b)
      
    Level 2(b)
      
    Level 3
     
    Assets
     
      
      
     
    Available-for-sale securities
     
    $
    1,217
      
    $
    38,747
      
    $
     
    Trading securities
      
       
    1,126
       
     
    Total
     
    $
    1,217
      
    $
    39,873
      
    $
     
     
    (b)There were no transfers between Level 1 and Level 2 during fiscal 2013.

    XML 31 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-Based Compensation (Details) (USD $)
    In Thousands, except Share data, unless otherwise specified
    3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    Jul. 27, 2013
    Stock Options [Member]
    Jan. 25, 2014
    Stock Options [Member]
    Jan. 25, 2014
    Stock Options [Member]
    Minimum [Member]
    Jan. 25, 2014
    Stock Options [Member]
    Maximum [Member]
    Jan. 25, 2014
    Stock Appreciation Rights (SARs) [Member]
    Jan. 25, 2014
    Stock Appreciation Rights (SARs) [Member]
    2013 Grant Remeasured [Member]
    Jan. 25, 2014
    Stock Appreciation Rights (SARs) [Member]
    2014 Grant Remeasured [Member]
    Jan. 25, 2014
    Stock Appreciation Rights (SARs) [Member]
    Minimum [Member]
    Jan. 25, 2014
    Stock Appreciation Rights (SARs) [Member]
    Maximum [Member]
    Jan. 25, 2014
    Restricted Stock Units (RSUs) [Member]
    Jul. 27, 2013
    Restricted Stock Units (RSUs) [Member]
    Employees [Member]
    Jan. 25, 2014
    Restricted Stock Units (RSUs) [Member]
    Director [Member]
    Jan. 25, 2014
    Restricted Stock Units (RSUs) [Member]
    Minimum [Member]
    Jan. 25, 2014
    Restricted Stock Units (RSUs) [Member]
    Maximum [Member]
    Jan. 25, 2014
    Performance Share Units [Member]
    Jan. 25, 2014
    Performance Share Units [Member]
    2013 Grant Remeasured [Member]
    Jan. 25, 2014
    Performance Share Units [Member]
    Monte Carlo Valuation Model [Member]
    Jan. 25, 2014
    Performance Share Units [Member]
    Monte Carlo Valuation Model [Member]
    2013 Grant Remeasured [Member]
    Jan. 25, 2014
    Performance-Based Shares [Member]
    Jan. 25, 2014
    Performance-Based Shares [Member]
    Monte Carlo Valuation Model [Member]
    Jan. 25, 2014
    Performance based units and Performance based shares [Member]
    Jan. 25, 2014
    Performance based units and Performance based shares [Member]
    Minimum [Member]
    Jan. 25, 2014
    Performance based units and Performance based shares [Member]
    Maximum [Member]
    Share-based Compensation Arrangement by Share-based Payment Award [Line Items]                                                      
    Options granted (in shares)           174,595                                          
    Equity instruments other than options, granted in period (in shares/units)                 141,546           125,007 34,200     35,083       191,410        
    Percentage of grants with market-based vesting (in hundredths)                                                 20.00%    
    Percentages of share based payment award percent vesting each year from date of grant (in hundredths)                 25.00%         25.00%                          
    Vesting period of stock-based award             1 year 4 years       1 year 4 years       1 year 4 years                  
    Percentage of grants with performance vesting (in hundredths)                                                 80.00% 50.00% 200.00%
    Performance awards, performance period                                                 3 years    
    Award common share equivalent (in shares)                           1                          
    Fair value of shares (in dollars per unit)                           $ 27.19   $ 21.20     $ 26.59 $ 26.83 $ 42.93 $ 47.56          
    Fair value of granted performance-based shares (in dollars per share)                                             $ 18.58 $ 26.08      
    Stock-based compensation expense recognized consolidated statement of income                                                      
    Equity-based awards expense $ 1,700 $ 1,239 $ 7,371 $ 8,198                                              
    Liability-based awards expense (income) 2,203 314 5,993 1,205                                              
    Total stock-based compensation expense $ 3,903 $ 1,553 $ 13,364 $ 9,403                                              
    Fair value assumptions [Abstract]                                                      
    Risk-free interest rate (in hundredths)         0.84%         0.69% 1.58%                                
    Dividend rate (in hundredths)         0.84%         0.90% 0.90%                                
    Expected life in years         5 years         3 years 5 months 16 days 4 years 4 months 20 days                                
    Stock price volatility (in hundredths)         81.30%         50.44% 53.14%                                
    Fair value per share (in dollars per share)         $ 11.63         $ 16.31 $ 13.94                                
    XML 32 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONSOLIDATED STATEMENT OF INCOME (Unaudited) (USD $)
    In Thousands, except Per Share data, unless otherwise specified
    3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    CONSOLIDATED STATEMENT OF INCOME (Unaudited) [Abstract]        
    Sales $ 350,375 $ 340,211 $ 1,017,692 $ 945,848
    Cost of sales 228,186 227,956 670,011 646,038
    Gross profit 122,189 112,255 347,681 299,810
    Selling, general and administrative expense 96,740 89,443 281,767 259,111
    Operating income 25,449 22,812 65,914 40,699
    Interest expense 142 148 411 512
    Interest income 183 198 539 435
    Other income (expense), net 849 2,401 1,107 2,515
    Income from continuing operations before income taxes 26,339 25,263 67,149 43,137
    Income tax expense 8,751 8,391 22,462 14,912
    Income from continuing operations 17,588 16,872 44,687 28,225
    Income (loss) from discontinued operations, net of tax (717) 291 (864) 465
    Net income 16,871 17,163 43,823 28,690
    Net income attributable to noncontrolling interests (388) (99) (1,006) (609)
    Net income attributable to La-Z-Boy Incorporated 16,483 17,064 42,817 28,081
    Basic net income attributable to La-Z-Boy Incorporated $ 17,200 $ 16,773 $ 43,681 $ 27,616
    Basic average shares (in shares) 52,516 52,431 52,465 52,327
    Basic net income attributable to La-Z-Boy Incorporated per share: [Abstract]        
    Income from continuing operations attributable to La-Z-Boy Incorporated (in dollars per share) $ 0.33 $ 0.31 $ 0.83 $ 0.52
    Income (loss) from discontinued operations (in dollars per share) $ (0.02) $ 0.01 $ (0.02) $ 0.01
    Basic net income attributable to La-Z-Boy Incorporated per share (in dollars per share) $ 0.31 $ 0.32 $ 0.81 $ 0.53
    Diluted average shares (in shares) 53,226 53,401 53,379 53,201
    Diluted net income attributable to La-Z-Boy Incorporated per share: [Abstract]        
    Income from continuing operations attributable to La-ZBoy Incorporated (in dollars per share) $ 0.32 $ 0.31 $ 0.81 $ 0.51
    Income (loss) from discontinued operations (in dollars per share) $ (0.01) $ 0.01 $ (0.01) $ 0.01
    Diluted net income attributable to La-Z-Boy Incorporated per share (in dollars per share) $ 0.31 $ 0.32 $ 0.80 $ 0.52
    Dividends declared per share (in dollars per share) $ 0.06 $ 0.04 $ 0.14 $ 0.04
    XML 33 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Fair Value Measurements (Details) (Recurring Basis [Member], USD $)
    In Thousands, unless otherwise specified
    Jan. 25, 2014
    Apr. 27, 2013
    Level 1 [Member]
       
    Assets [Abstract]    
    Available-for-sale securities $ 1,225 [1] $ 1,217 [2]
    Trading securities 0 [1] 0 [2]
    Total 1,225 [1] 1,217 [2]
    Level 2 [Member]
       
    Assets [Abstract]    
    Available-for-sale securities 51,154 [1] 38,747 [2]
    Trading securities 1,604 [1] 1,126 [2]
    Total 52,758 [1] 39,873 [2]
    Level 3 [Member]
       
    Assets [Abstract]    
    Available-for-sale securities 0 0
    Trading securities 0 0
    Total $ 0 $ 0
    [1] There were no transfers between Level 1 and Level 2 during fiscal 2014.
    [2] There were no transfers between Level 1 and Level 2 during fiscal 2013.
    XML 34 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONSOLIDATED STATEMENT OF CASH FLOWS (Unaudited) (USD $)
    In Thousands, unless otherwise specified
    9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Cash flows from operating activities    
    Net income $ 43,823 $ 28,690
    Adjustments to reconcile net income to cash provided by (used for) operating activities    
    Gain on sale of investments (282) (2,866)
    Impairment of business held for sale 1,149 0
    Deferred income tax benefit (2,929) (745)
    Restructuring (115) 2,716
    Provision for doubtful accounts (2,494) 1,009
    Depreciation and amortization 17,529 17,111
    Stock-based compensation expense 7,371 8,198
    Pension plan contributions 0 (3,480)
    Change in receivables 4,865 2,457
    Change in inventories (15,166) (12,355)
    Change in other assets 2,980 (5,432)
    Change in payables 2,865 (6,261)
    Change in other liabilities 3,193 4,410
    Net cash provided by operating activities 62,789 33,452
    Cash flows from investing activities    
    Proceeds from disposals of assets 2,248 1,484
    Capital expenditures (23,078) (21,792)
    Purchases of investments (40,796) (36,353)
    Proceeds from sales of investments 27,974 12,658
    Acquisitions, net of cash acquired (801) (15,832)
    Change in restricted cash 120 (6,937)
    Net cash used for investing activities (34,333) (66,772)
    Cash flows from financing activities    
    Payments on debt (434) (2,372)
    Stock issued for stock and employee benefit plans 3,526 1,528
    Excess tax benefit on stock option exercises 5,805 1,117
    Purchases of common stock (20,276) (5,217)
    Dividends paid (7,375) (2,119)
    Net cash used for financing activities (18,754) (7,063)
    Effect of exchange rate changes on cash and equivalents (675) (6)
    Change in cash and equivalents 9,027 (40,389)
    Cash and equivalents at beginning of period 131,085 152,370
    Cash and equivalents at end of period 140,112 111,981
    Supplemental disclosure of non-cash investing activities [Abstract]    
    Capital expenditures included in payables $ 2,183 $ 0
    XML 35 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Inventories (Details) (USD $)
    In Thousands, unless otherwise specified
    Jan. 25, 2014
    Apr. 27, 2013
    Inventories [Abstract]    
    Raw materials $ 78,209 $ 70,731
    Work in process 13,616 12,182
    Finished goods 97,604 93,273
    FIFO inventories 189,429 176,186
    Excess of FIFO over LIFO (29,843) (29,843)
    Inventories, net $ 159,586 $ 146,343
    XML 36 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Allowance for Credit Losses (Tables)
    9 Months Ended
    Jan. 25, 2014
    Allowance for Credit Losses [Abstract]  
    Analysis of allowance for credit losses
    The following is an analysis of the allowance for credit losses related to our notes receivable as of and for the quarter and nine months ended January 25, 2014, and January 26, 2013:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Beginning balance
     
    $
    158
      
    $
    1,481
      
    $
    1,986
      
    $
    1,537
     
    Recoveries
      
       
    (17
    )
      
       
    (73
    )
    Write-offs
      
       
       
    (1,888
    )
      
     
    Provision for credit losses
      
       
       
    60
       
     
    Ending balance
     
    $
    158
      
    $
    1,464
      
    $
    158
      
    $
    1,464
     
    XML 37 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Investments (Details) (USD $)
    3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    Apr. 27, 2013
    Schedule of Available-for-sale Securities [Line Items]          
    Amount of investment which enhance return on cash $ 37,900,000   $ 37,900,000   $ 29,900,000
    Summary of investments [Abstract]          
    Gross Unrealized Gains 1,294,000   1,294,000   456,000
    Gross Unrealized Losses (585,000)   (585,000)   (156,000)
    Fair Value 53,983,000   53,983,000   41,090,000
    Sales of available-for-sale securities [Abstract]          
    Proceeds from sales 9,778,000 6,973,000 27,974,000 11,881,000  
    Gross realized gains 775,000 2,163,000 820,000 3,008,000  
    Gross realized losses (473,000) (106,000) (538,000) (142,000)  
    Available-for-sale fair value by contractual maturity [Abstract]          
    Available-for-sale securities, within one year, fair value 10,500,000   10,500,000    
    Available-for-sale Securities, within two through five years, fair value 31,300,000   31,300,000    
    Available-for-sale securities, within six through ten years, fair value 1,800,000   1,800,000    
    Available-for-sale securities, after ten years, fair value 600,000   600,000    
    Other Current Assets [Member]
             
    Schedule of Available-for-sale Securities [Line Items]          
    Available-for-sale investments, current 10,500,000   10,500,000   10,800,000
    Trading securities, current 1,600,000   1,600,000   1,100,000
    Other Long-Term Assets [Member]
             
    Schedule of Available-for-sale Securities [Line Items]          
    Available-for-sale investments 41,900,000   41,900,000   29,200,000
    Equity Securities [Member]
             
    Summary of investments [Abstract]          
    Gross Unrealized Gains 1,121,000   1,121,000   296,000
    Gross Unrealized Losses (66,000)   (66,000)   (152,000)
    Fair Value 8,073,000   8,073,000   6,668,000
    Fixed Income [Member]
             
    Summary of investments [Abstract]          
    Gross Unrealized Gains 172,000   172,000   159,000
    Gross Unrealized Losses (509,000)   (509,000)   (1,000)
    Fair Value 44,192,000   44,192,000   33,076,000
    Mutual Funds [Member]
             
    Summary of investments [Abstract]          
    Gross Unrealized Gains 0   0   0
    Gross Unrealized Losses 0   0   0
    Fair Value 1,604,000   1,604,000   1,126,000
    Other [Member]
             
    Summary of investments [Abstract]          
    Gross Unrealized Gains 1,000   1,000   1,000
    Gross Unrealized Losses (10,000)   (10,000)   (3,000)
    Fair Value $ 114,000   $ 114,000   $ 220,000
    XML 38 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Investments (Tables)
    9 Months Ended
    Jan. 25, 2014
    Investments [Abstract]  
    Summary of investments
    The following is a summary of investments at January 25, 2014, and April 27, 2013:

     (Unaudited, amounts in thousands)
     
    Gross
    Unrealized Gains
      
    Gross
    Unrealized Losses
      
     
    Fair Value
     
    Equity securities
     
    $
    1,121
      
    $
    (66
    )
     
    $
    8,073
     
    Fixed income
      
    172
       
    (509
    )
      
    44,192
     
    Mutual funds
      
       
       
    1,604
     
    Other
      
    1
       
    (10
    )
      
    114
     
    Total securities
     
    $
    1,294
      
    $
    (585
    )
     
    $
    53,983
     
     
                
    As of April 27, 2013
                
     (Unaudited, amounts in thousands)
     
    Gross
    Unrealized Gains
      
    Gross
    Unrealized Losses
      
     
    Fair Value
     
    Equity securities
     
    $
    296
      
    $
    (152
    )
     
    $
    6,668
     
    Fixed income
      
    159
       
    (1
    )
      
    33,076
     
    Mutual funds
      
       
       
    1,126
     
    Other
      
    1
       
    (3
    )
      
    220
     
    Total securities
     
    $
    456
      
    $
    (156
    )
     
    $
    41,090
     
    Sales of available-for-sale securities
    The following table summarizes sales of available-for-sale securities:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Proceeds from sales
     
    $
    9,778
      
    $
    6,973
      
    $
    27,974
      
    $
    11,881
     
    Gross realized gains
      
    775
       
    2,163
       
    820
       
    3,008
     
    Gross realized losses
      
    (473
    )
      
    (106
    )
      
    (538
    )
      
    (142
    )
    XML 39 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 40 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONSOLIDATED STATEMENT OF CHANGES IN EQUITY (Unaudited) (USD $)
    In Thousands, unless otherwise specified
    Common Shares [Member]
    Capital in Excess of Par Value [Member]
    Retained Earnings [Member]
    Accumulated Other Comprehensive Loss [Member]
    Non-Controlling Interests [Member]
    Total
    Balance at Apr. 28, 2012 $ 52,244 $ 231,332 $ 189,609 $ (31,281) $ 5,911 $ 447,815
    Increase (Decrease) in Stockholders' Equity [Roll Forward]            
    Net income     46,389   793 47,182
    Other comprehensive income (loss)       (4,215) 339 (3,876)
    Stock issued for stock and employee benefit plans, net of cancellations 817 1,849 (1,368)     1,298
    Purchases of common stock (669) (5,314) (4,350)     (10,333)
    Stock option and restricted stock expense   11,458       11,458
    Excess tax benefit from exercise of options   2,563       2,563
    Dividends paid     (4,236)     (4,236)
    Change in noncontrolling interests         97 97
    Balance at Apr. 27, 2013 52,392 241,888 226,044 (35,496) 7,140 491,968
    Increase (Decrease) in Stockholders' Equity [Roll Forward]            
    Net income     42,817   1,006 43,823
    Other comprehensive income (loss)       (16) (861) (877)
    Stock issued for stock and employee benefit plans, net of cancellations 929 2,364 (4,509)     (1,216)
    Purchases of common stock (902) (3,025) (16,349)     (20,276)
    Stock option and restricted stock expense   7,371       7,371
    Excess tax benefit from exercise of options   5,805       5,805
    Dividends paid     (7,375)     (7,375)
    Change in noncontrolling interests         99 99
    Balance at Jan. 25, 2014 $ 52,419 $ 254,403 $ 240,628 $ (35,512) $ 7,384 $ 519,322
    XML 41 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (Unaudited) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (Unaudited) [Abstract]        
    Net income $ 16,871 $ 17,163 $ 43,823 $ 28,690
    Other comprehensive income (loss)        
    Currency translation adjustment (1,224) 302 (2,530) 1,252
    Change in fair value of cash flow hedges, net of tax (165) 43 (529) 145
    Net unrealized gains (losses) on marketable securities, net of tax (104) (1,973) 540 (2,504)
    Net pension amortization, net of tax 547 470 1,642 1,416
    Total other comprehensive income (loss) (946) (1,158) (877) 309
    Total comprehensive income before allocation to noncontrolling interests 15,925 16,005 42,946 28,999
    Comprehensive income (loss) attributable to noncontrolling interests 23 (277) (145) (793)
    Comprehensive income attributable to La-Z-Boy Incorporated $ 15,948 $ 15,728 $ 42,801 $ 28,206
    XML 42 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Segment Information
    9 Months Ended
    Jan. 25, 2014
    Segment Information [Abstract]  
    Segment Information
    Note 10: Segment Information
     
    Our reportable operating segments are the Upholstery segment, the Casegoods segment and the Retail segment.
     
    Upholstery Segment.  The Upholstery segment consists of two operating units: La-Z-Boy and England.  This segment manufactures or imports upholstered furniture. Upholstered furniture includes recliners and motion furniture, sofas, loveseats, chairs, sectionals, modulars, ottomans and sleeper sofas.  The Upholstery segment sells directly to La-Z-Boy Furniture Galleries® stores, operators of Comfort Studios® locations, major dealers and other independent retailers.

    Casegoods Segment. The Casegoods segment consists of four brands: American Drew, Lea, Hammary, and Kincaid.  This segment sells imported or manufactured wood furniture to furniture retailers.  Casegoods product includes bedroom, dining room, entertainment centers, occasional pieces and some coordinated upholstered furniture.  The Casegoods segment sells to major dealers and other independent retailers.

    Retail Segment. The Retail segment consists of 100 company-owned La-Z-Boy Furniture Galleries® stores in 12 primary markets.  The Retail segment sells upholstered furniture, in addition to some casegoods and other accessories, to end consumers through the retail network.
     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Sales
     
      
      
      
     
    Upholstery segment:
     
      
      
      
     
    Sales to external customers
     
    $
    242,492
      
    $
    236,428
      
    $
    710,162
      
    $
    657,073
     
    Intersegment sales
      
    37,780
       
    34,622
       
    103,183
       
    93,401
     
    Upholstery segment sales
      
    280,272
       
    271,050
       
    813,345
       
    750,474
     
    Casegoods segment:
                    
    Sales to external customers
      
    27,267
       
    30,496
       
    85,733
       
    95,841
     
    Intersegment sales
      
    2,367
       
    2,115
       
    7,269
       
    5,907
     
    Casegoods segment sales
      
    29,634
       
    32,611
       
    93,002
       
    101,748
     
     
                    
    Retail segment sales
      
    80,212
       
    72,772
       
    219,845
       
    191,089
     
    Corporate and Other
      
    404
       
    515
       
    1,952
       
    1,845
     
    Eliminations
      
    (40,147
    )
      
    (36,737
    )
      
    (110,452
    )
      
    (99,308
    )
    Consolidated sales
     
    $
    350,375
      
    $
    340,211
      
    $
    1,017,692
      
    $
    945,848
     
     
                    
    Operating Income (Loss)
                    
    Upholstery segment
     
    $
    31,560
      
    $
    27,909
      
    $
    86,547
      
    $
    64,892
     
    Casegoods segment
      
    (41
    )
      
    200
       
    1,161
       
    2,381
     
    Retail segment
      
    3,087
       
    2,668
       
    8,264
       
    105
     
    Restructuring
      
    60
       
    (30
    )
      
    115
       
    (2,633
    )
    Corporate and Other
      
    (9,217
    )
      
    (7,935
    )
      
    (30,173
    )
      
    (24,046
    )
    Consolidated operating income
     
    $
    25,449
      
    $
    22,812
      
    $
    65,914
      
    $
    40,699
     
    XML 43 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Document and Entity Information
    9 Months Ended
    Jan. 25, 2014
    Feb. 11, 2014
    Document and Entity Information [Abstract]    
    Entity Registrant Name LA-Z-BOY INC  
    Entity Central Index Key 0000057131  
    Current Fiscal Year End Date --04-26  
    Entity Well-known Seasoned Issuer No  
    Entity Voluntary Filers No  
    Entity Current Reporting Status Yes  
    Entity Filer Category Large Accelerated Filer  
    Entity Common Stock, Shares Outstanding   52,338,032
    Document Fiscal Year Focus 2014  
    Document Fiscal Period Focus Q3  
    Document Type 10-Q  
    Amendment Flag false  
    Document Period End Date Jan. 25, 2014  
    XML 44 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Income Taxes
    9 Months Ended
    Jan. 25, 2014
    Income Taxes [Abstract]  
    Income Taxes
    Note 11: Income Taxes

    Our effective tax rate for continuing operations in the third quarter of fiscal 2014 and the third quarter of fiscal 2013 was 33.2%, and was 33.5% for the first nine months of fiscal 2014 compared to 34.6% for the first nine months of fiscal 2013.

    Items impacting our effective tax rate for the first nine months of fiscal 2014 included a tax benefit of $0.9 million in the second quarter for the release of a valuation allowance relating to certain U.S. state deferred tax assets and a net tax benefit of $0.2 million in the third quarter primarily from adjustments to deferred taxes as a result of Mexico tax law changes.  Absent discrete adjustments, the effective tax rate for continuing operations in the first nine months of fiscal 2014 would have been 35.0%.

    Our consolidated balance sheet at the end of the third quarter of fiscal 2014 reflected a $1.4 million net liability for uncertain income tax positions.  It is reasonably possible that $0.2 million of this liability will be settled within the next 12 months.  The remaining balance will be paid or released as tax audits are completed or settled, statutes of limitation expire or other new information becomes available.

    In September 2013, the Internal Revenue Service enacted final tax regulations regarding the capitalization and expensing of amounts paid to acquire, produce, or improve tangible property.  The regulations also include guidance regarding the retirement of depreciable property.  The regulations are required to be effective in taxable years beginning on or after January 1, 2014, although taxpayers may choose to apply them in taxable years beginning on or after January 1, 2012.  We are currently assessing the impact of the final regulations on our financial statements.
    XML 45 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONSOLIDATED BALANCE SHEET (Unaudited) (USD $)
    In Thousands, unless otherwise specified
    Jan. 25, 2014
    Apr. 27, 2013
    Current assets    
    Cash and equivalents $ 140,112 $ 131,085
    Restricted cash 12,566 12,686
    Receivables, net of allowance of $12,706 at 1/25/14 and $21,607 at 4/27/13 151,917 160,005
    Inventories, net 159,586 146,343
    Deferred income taxes - current 19,174 20,640
    Business held for sale 8,923 0
    Other current assets 27,797 30,121
    Total current assets 520,075 500,880
    Property, plant and equipment, net 122,422 118,060
    Goodwill 13,923 12,837
    Other intangible assets 5,931 4,838
    Deferred income taxes - long-term 33,927 30,572
    Other long-term assets, net 67,923 53,184
    Total assets 764,201 720,371
    Current liabilities    
    Current portion of long-term debt 7,574 513
    Accounts payable 53,814 50,542
    Business held for sale 2,653 0
    Accrued expenses and other current liabilities 99,841 99,108
    Total current liabilities 163,882 150,163
    Long-term debt 345 7,576
    Other long-term liabilities 80,652 70,664
    Contingencies and commitments      
    Shareholders' equity    
    Preferred shares - 5,000 authorized; none issued 0 0
    Common shares, $1 par value - 150,000 authorized; 52,419 outstanding at 1/25/14 and 52,392 outstanding at 4/27/13 52,419 52,392
    Capital in excess of par value 254,403 241,888
    Retained earnings 240,628 226,044
    Accumulated other comprehensive loss (35,512) (35,496)
    Total La-Z-Boy Incorporated shareholders' equity 511,938 484,828
    Noncontrolling interests 7,384 7,140
    Total equity 519,322 491,968
    Total liabilities and equity $ 764,201 $ 720,371
    XML 46 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Goodwill and Other Intangible Assets
    9 Months Ended
    Jan. 25, 2014
    Goodwill and Other Intangible Assets [Abstract]  
    Goodwill and Other Intangible Assets
    Note 5: Goodwill and Other Intangible Assets

    During the second quarter of fiscal 2014, we acquired the assets of one independent La-Z-Boy Furniture Galleries® dealer in exchange for that dealer’s net notes and accounts receivable, valued at $1.6 million.  As a result of the acquisition we reacquired the right to own and operate La-Z-Boy Furniture Galleries® stores in that market.  We recorded an indefinite-lived intangible asset of $0.6 million in our Retail segment related to this reacquired right.

    During the third quarter of fiscal 2014, we acquired the assets of one independent La-Z-Boy Furniture Galleries® dealer in exchange for that dealer’s net notes and accounts receivable, valued at $1.4 million, and a cash payment to the dealer of $0.8 million.  As a result of the acquisition we reacquired the right to own and operate La-Z-Boy Furniture Galleries® stores in that market.  We recorded an indefinite-lived intangible asset of $0.5 million in our Retail segment related to this reacquired right, and goodwill of $1.1 million.

    The following is a roll-forward of goodwill for the nine months ended January 25, 2014:

     
    Goodwill
    (Unaudited, amounts in thousands)
     
    Goodwill
     
    Balance at April 27, 2013
     
    $
    12,837
     
    Acquisitions during fiscal 2014
      
    1,086
     
    Balance at January 25, 2014
     
    $
    13,923
     

    The following is a roll-forward of other intangible assets for the nine months ended January 25, 2014:

     
    Other Intangible Assets
    (Unaudited, amounts in thousands)
     
    Tradenames
      
    Reacquired
    Rights
      
    Total Other
    Intangible
    Assets
     
    Balance at April 27, 2013
     
    $
    2,693
      
    $
    2,145
      
    $
    4,838
     
    Acquisitions during fiscal 2014
      
       
    1,093
       
    1,093
     
    Balance at January 25, 2014
     
    $
    2,693
      
    $
    3,238
      
    $
    5,931
     
    XML 47 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Investments
    9 Months Ended
    Jan. 25, 2014
    Investments [Abstract]  
    Investments
    Note 4:  Investments

    Our consolidated balance sheet at January 25, 2014, included $10.5 million of available-for-sale investments and $1.6 million of trading securities in other current assets and $41.9 million of available-for-sale investments in other long-term assets.  Available-for-sale investments of $10.8 million and trading securities of $1.1 million were included in other current assets, and available-for-sale investments of $29.2 million were included in other long-term assets in our consolidated balance sheet at April 27, 2013.  At January 25, 2014, and April 27, 2013, $37.9 million and $29.9 million, respectively, of these investments were to enhance returns on our cash.  The remaining investments were designated to fund future obligations of our non-qualified defined benefit retirement plan and our executive deferred compensation plan.  If there were a decline in the fair value of an investment below its cost and the decline was considered other-than-temporary, the amount of decline below cost would be charged against earnings.

    The following is a summary of investments at January 25, 2014, and April 27, 2013:

     (Unaudited, amounts in thousands)
     
    Gross
    Unrealized Gains
      
    Gross
    Unrealized Losses
      
     
    Fair Value
     
    Equity securities
     
    $
    1,121
      
    $
    (66
    )
     
    $
    8,073
     
    Fixed income
      
    172
       
    (509
    )
      
    44,192
     
    Mutual funds
      
       
       
    1,604
     
    Other
      
    1
       
    (10
    )
      
    114
     
    Total securities
     
    $
    1,294
      
    $
    (585
    )
     
    $
    53,983
     
     
                
    As of April 27, 2013
                
     (Unaudited, amounts in thousands)
     
    Gross
    Unrealized Gains
      
    Gross
    Unrealized Losses
      
     
    Fair Value
     
    Equity securities
     
    $
    296
      
    $
    (152
    )
     
    $
    6,668
     
    Fixed income
      
    159
       
    (1
    )
      
    33,076
     
    Mutual funds
      
       
       
    1,126
     
    Other
      
    1
       
    (3
    )
      
    220
     
    Total securities
     
    $
    456
      
    $
    (156
    )
     
    $
    41,090
     

    The following table summarizes sales of available-for-sale securities:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Proceeds from sales
     
    $
    9,778
      
    $
    6,973
      
    $
    27,974
      
    $
    11,881
     
    Gross realized gains
      
    775
       
    2,163
       
    820
       
    3,008
     
    Gross realized losses
      
    (473
    )
      
    (106
    )
      
    (538
    )
      
    (142
    )

    The fair value of fixed income available-for-sale securities by contractual maturity was $10.5 million within one year, $31.3 million within two to five years, $1.8 million within six to ten years and $0.6 million thereafter.
    XML 48 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Inventories (Tables)
    9 Months Ended
    Jan. 25, 2014
    Inventories [Abstract]  
    Components of Inventory
    A summary of inventories is as follows:
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    4/27/13
     
    Raw materials
     
    $
    78,209
      
    $
    70,731
     
    Work in process
      
    13,616
       
    12,182
     
    Finished goods
      
    97,604
       
    93,273
     
    FIFO inventories
      
    189,429
       
    176,186
     
    Excess of FIFO over LIFO
      
    (29,843
    )
      
    (29,843
    )
    Inventories, net
     
    $
    159,586
      
    $
    146,343
     
    XML 49 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Earnings per Share
    9 Months Ended
    Jan. 25, 2014
    Earnings per Share [Abstract]  
    Earnings per Share
    Note 12: Earnings per Share
     
    Certain share-based payment awards that entitle their holders to receive non-forfeitable dividends prior to vesting are considered participating securities.  We grant restricted stock awards that contain non-forfeitable rights to dividends on unvested shares; as participating securities, the unvested shares are required to be included in the calculation of our basic earnings per common share, using the two-class method.

    A reconciliation of the numerators and denominators used in the computations of basic and diluted earnings per share is as follows:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Numerator (basic and diluted):
     
      
      
      
     
    Net income attributable to La-Z-Boy Incorporated
     
    $
    16,483
      
    $
    17,064
      
    $
    42,817
      
    $
    28,081
     
    Income allocated to participating securities
      
    (100
    )
      
    (218
    )
      
    (354
    )
      
    (401
    )
    Net income available to common Shareholders
     
    $
    16,383
      
    $
    16,846
      
    $
    42,463
      
    $
    27,680
     
     
                    
    Denominator:
                    
    Basic weighted average common shares Outstanding
      
    52,516
       
    52,431
       
    52,465
       
    52,327
     
    Add:
                    
    Contingent common shares
      
    361
       
    438
       
    501
       
    345
     
    Stock option dilution
      
    349
       
    532
       
    413
       
    529
     
    Diluted weighted average common shares Outstanding
      
    53,226
       
    53,401
       
    53,379
       
    53,201
     

    Contingent common shares reflect the dilutive effect of common shares that would be issued under the terms of performance-based share grants made to employees, assuming the reporting period was the performance period.

    We had outstanding options to purchase 0.2 million shares for the quarter and nine months ended January 26, 2013, with a weighted average exercise price of $20.74.  We excluded the effect of these options from the diluted share calculation for these periods since the weighted average exercise price of the options was higher than the average market price, and including the options’ effect would have been anti-dilutive.  There were no outstanding options to purchase shares that were excluded from the diluted share calculation because their effect would have been anti-dilutive for the quarter and nine months ended January 25, 2014.
    XML 50 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-Based Compensation
    9 Months Ended
    Jan. 25, 2014
    Stock-Based Compensation [Abstract]  
    Stock-Based Compensation
    Note 8:  Stock-Based Compensation
     
    The table below summarizes the total stock-based compensation expense recognized for all outstanding grants in our consolidated statement of income:
     
     
     
    Third Quarter Ended
      
    Nine Months Ended
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Equity-based awards expense
     
    $
    1,700
      
    $
    1,239
      
    $
    7,371
      
    $
    8,198
     
    Liability-based awards expense
      
    2,203
       
    314
       
    5,993
       
    1,205
     
    Total stock-based compensation expense
     
    $
    3,903
      
    $
    1,553
      
    $
    13,364
      
    $
    9,403
     

    The table below summarizes the grants made during the first nine months of fiscal 2014:
     
    (Unaudited, shares/units in thousands)
     
    Shares/units
    granted
     
    Liability/
    Equity
    award
     
    Settlement
    Stock options
     
    175
     
    Equity
     
    Common shares
    Stock appreciation rights (“SARs”)
     
    142
     
    Liability
     
    Cash
    Restricted stock units – employees
     
    125
     
    Liability
     
    Cash
    Restricted stock units – directors
     
    34
     
    Equity
     
    Common shares
    Performance-based units
     
    35
     
    Liability
     
    Cash
    Performance-based shares
     
    191
     
    Equity
     
    Common shares
     
    Stock Options. We granted 174,595 stock options to employees during the first quarter of fiscal 2014.  Stock options are accounted for as equity-based awards because upon exercise of the stock option they will be settled in common shares.  Compensation expense for stock options is equal to the fair value on the date the award was approved and is recognized over the vesting period.  The vesting period for our stock options ranges from one to four years.  Options granted to retirement eligible employees are expensed immediately because they vest upon retirement.  The fair value for the employee stock options granted was estimated at the date of the grant using the Black-Scholes option-pricing model, which requires management to make certain assumptions.  Expected volatility was estimated based on the historical volatility of our common shares.  The average expected life was based on the contractual term of the stock option and expected employee exercise and post-vesting employment termination trends.  The risk-free rate was based on U.S. Treasury issues with a term equal to the expected life assumed at the date of the grant.

    The fair value of stock options granted during the first quarter of fiscal 2014 was calculated using the following assumptions:
     
    (Unaudited)
     
    7/27/13
     
    Risk-free interest rate
      
    0.84
    %
    Dividend rate
      
    0.84
    %
    Expected life in years
      
    5.0
     
    Stock price volatility
      
    81.3
    %
    Fair value per share
     
    $
    11.63
     
     
    Stock Appreciation Rights.  We granted 141,546 stock appreciation rights to employees during the first quarter of fiscal 2014.  SARs will be paid in cash upon vesting and as such are accounted for as liability-based awards that will be remeasured to reflect the fair value at the end of each reporting period.  These awards vest at 25% per year, beginning one year from the grant date for a term of four years.  SARs granted to retirement eligible employees are expensed immediately because they vest upon retirement.  The fair value for the SARs is estimated at the end of each period using the Black-Scholes option-pricing model, which requires management to make certain assumptions.  The average expected life was based on the contractual term of the SARs and expected employee exercise and post-vesting employment termination trends (which is consistent with the expected life of our option awards).  The risk-free rate was based on U.S. Treasury issues with a term equal to the expected life assumed at the end of the reporting period.
    The fair value of the SARs granted during the first quarter of fiscal 2014 was remeasured at January 25, 2014, using the following assumptions:
     
    (Unaudited)
     
    1/25/14
     
    Risk-free interest rate
      
    1.58
    %
    Dividend rate
      
    0.90
    %
    Expected life in years
      
    4.39
     
    Stock price volatility
      
    53.14
    %
    Fair value per share
     
    $
    13.94
     
     
    In fiscal 2013, we granted SARs as described in our Form 10-K for the fiscal year ended April 27, 2013.  The fair value of the SARs granted during fiscal 2013 was remeasured at January 25, 2014, using the following assumptions:
     
    (Unaudited)
     
    1/25/14
     
    Risk-free interest rate
      
    0.69
    %
    Dividend rate
      
    0.90
    %
    Expected life in years
      
    3.46
     
    Stock price volatility
      
    50.44
    %
    Fair value per share
     
    $
    16.31
     
     
    Restricted Stock Units. We granted 125,007 restricted stock units to employees during the first nine months of fiscal 2014.  These units are accounted for as liability-based awards because upon vesting these awards will be paid in cash.  Compensation expense is initially measured and recognized based on the market value (intrinsic value) of our common stock on the grant date and amortized over the vesting period.  The liability is remeasured and adjusted based on the market value (intrinsic value) of our common shares on the last day of the reporting period until paid with a corresponding adjustment to reflect the cumulative amount of compensation expense.  The fair value of the restricted stock units at January 25, 2014, was $27.19.  Each restricted stock unit is the equivalent of one common share.  Restricted stock units vest at 25% per year, beginning one year from the grant date for a term of four years.
     
    During the second quarter of fiscal 2014, we granted 34,200 restricted stock units to our non-employee directors.  They vest upon the director leaving the board.  They will be settled in shares of our common stock upon vesting, and we account for them as equity-based awards.  Compensation expense for these awards is measured and recognized on the grant date based on the market price of our common shares on the date of grant, which was $21.20.
     
    Performance Awards. During the first quarter of fiscal 2014, we granted 35,083 performance-based units and 191,410 performance-based shares.  Payout of these grants depends on our financial performance (80%) and a market-based condition based on the total return that our shareholders receive on their investment in our stock relative to returns earned through investments in other public companies (20%).  The performance award opportunity ranges from 50% of the employee’s target award if minimum performance requirements are met to a maximum of 200% of the target award based on the attainment of certain financial and shareholder-return goals over a specific performance period, which is generally three fiscal years.
     
    The performance-based units are accounted for as liability-based awards because upon vesting they will be paid in cash.  For performance-based units that vest based on performance conditions, the fair value of each unit was $26.59 at January 25, 2014, which was the market value of our common shares on the last day of the reporting period less expected dividends to be paid prior to vesting, and compensation cost is expensed based on the probability that the performance goals will be obtained.  For performance-based units that vest based on market conditions, the fair value of the award was estimated using a Monte Carlo valuation model on the last day of the reporting period, and compensation cost is expensed over the vesting period.  The liability for these units is remeasured and adjusted based on the Monte Carlo valuation at the end of each reporting period until paid.  Based on the Monte Carlo valuation, the fair value of each performance-based unit that vests based on market conditions was $42.93 at January 25, 2014.
    The performance-based shares are accounted for as equity-based awards because upon vesting they will be settled in common shares.  The grant date fair value of performance-based shares is expensed over the service period.  For performance-based shares that vest based on performance conditions, the fair value of each share was $18.58, which was the market value of our common shares on the date of grant less expected dividends to be paid prior to vesting, and compensation cost is expensed based on the probability that the performance goals will be obtained.  For performance-based shares that vest based on market conditions, the fair value of each share was estimated using a Monte Carlo valuation model on the date of grant, and compensation cost is expensed over the vesting period, regardless of the ultimate vesting of the award, similar to the expensing of a stock option award.  The fair value for each performance-based share that vests based on market conditions, as determined by the Monte Carlo valuation, was $26.08 at the grant date.
     
    In fiscal 2013, we granted performance-based units as described in our Form 10-K for the fiscal year ended April 27, 2013.  For those of the performance-based units that vest based on performance conditions, the fair value of each unit was $26.83 at January 25, 2014, which was the market value of our common shares on the last day of the reporting period less expected dividends to be paid prior to vesting.  For those of the performance-based units that vest based on market conditions, the fair value of each unit was $47.56 at January 25, 2014, which was based on the Monte Carlo valuation at the end of the reporting period.
    XML 51 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Pension Plans
    9 Months Ended
    Jan. 25, 2014
    Pension Plans [Abstract]  
    Pension Plans
    Note 6: Pension Plans

    Net periodic pension costs were as follows:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Service cost
     
    $
    311
      
    $
    308
      
    $
    933
      
    $
    924
     
    Interest cost
      
    1,206
       
    1,331
       
    3,618
       
    3,993
     
    Expected return on plan assets
      
    (1,701
    )
      
    (1,714
    )
      
    (5,100
    )
      
    (5,142
    )
    Net amortization
      
    893
       
    756
       
    2,676
       
    2,268
     
    Net periodic pension cost
     
    $
    709
      
    $
    681
      
    $
    2,127
      
    $
    2,043
     
    XML 52 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Product Warranties
    9 Months Ended
    Jan. 25, 2014
    Product Warranties [Abstract]  
    Product Warranties
    Note 7: Product Warranties
     
    We accrue an estimated liability for product warranties at the time the revenue is recognized. We estimate future warranty claims based on claim experience and any additional anticipated future costs on previously sold products.  Our liability estimates incorporate the cost of repairs including materials consumed, labor and overhead amounts necessary to perform the repair and any costs associated with delivery of the repaired product to the customer.  Over 90% of our warranty liability relates to our Upholstery segment as we generally warrant our products against defects for one year on fabric and leather, from one to ten years on cushions and padding, and up to a lifetime on certain mechanisms and frames.  Labor costs relating to our parts are warrantied for one year from the date of purchase by the end customer.  Considerable judgment is used in making our estimates.  Differences between actual and estimated costs are recorded when the differences are known.

    A reconciliation of the changes in our product warranty liability for the nine months ended January 25, 2014, and January 26, 2013, is as follows:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Balance as of the beginning of the period
     
    $
    15,929
      
    $
    14,313
      
    $
    15,525
      
    $
    14,327
     
    Accruals during the period
      
    3,026
       
    4,143
       
    10,698
       
    11,050
     
    Reclass to discontinued operations
      
    (218
    )
      
       
    (218
    )
      
     
    Settlements during the period
      
    (3,615
    )
      
    (3,692
    )
      
    (10,883
    )
      
    (10,613
    )
    Balance as of the end of the period
     
    $
    15,122
      
    $
    14,764
      
    $
    15,122
      
    $
    14,764
     
     
    As of January 25, 2014, and April 27, 2013, $9.2 million and $9.5 million, respectively, of our product warranty liability was included in accrued expenses and other current liabilities in our consolidated balance sheet, with the remainder included in other long-term liabilities. The accruals recorded during the periods presented primarily reflect charges related to warranties issued during the respective periods.
    XML 53 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Accumulated Other Comprehensive Loss
    9 Months Ended
    Jan. 25, 2014
    Accumulated Other Comprehensive Loss [Abstract]  
    Accumulated Other Comprehensive Loss
    Note 9: Accumulated Other Comprehensive Loss

    The activity in accumulated other comprehensive loss for the first nine months of fiscal 2014 is as follows:

     
     
      
      
      
     
     (Unaudited, amounts in thousands)
     
    Unrealized
    gain on
    marketable
    securities
      
    Translation
    adjustment
      
    Change in
    fair value
    of cash
    flow hedge
      
    Net pension
    amortization
    and net
    actuarial
    loss
      
    Accumulated
    other
    comprehensive
    loss
     
    Balance at April 27, 2013
     
    $
    474
      
    $
    4,779
      
    $
    231
      
    $
    (40,980
    )
     
    $
    (35,496
    )
    Changes before reclassifications
      
    1,161
       
    (1,669
    )
      
    (1,040
    )
      
       
    (1,548
    )
    Amounts reclassified to net income
      
    (282
    )
      
       
    179
       
    2,676
       
    2,573
     
    Tax effect
      
    (339
    )
      
       
    332
       
    (1,034
    )
      
    (1,041
    )
    Other comprehensive income (loss) attributable to La-Z- Boy Incorporated
      
    540
       
    (1,669
    )
      
    (529
    )
      
    1,642
       
    (16
    )
    Balance at January 25, 2014
     
    $
    1,014
      
    $
    3,110
      
    $
    (298
    )
     
    $
    (39,338
    )
     
    $
    (35,512
    )

    The unrealized gain on marketable securities was reclassified from accumulated other comprehensive loss to net income through other income (expense) in our consolidated statement of income, and the change in fair value of cash flow hedge and the net pension amortization were reclassified to net income through selling, general and administrative expense.
    The components of non-controlling interest at January 25, 2014, and January 26, 2013, were as follows:

    (Unaudited, amounts in thousands)
     
     
    Balance at April 27, 2013
     
    $
    7,140
     
    Net income
      
    1,006
     
    Other comprehensive loss
      
    (861
    )
    Change in non-controlling interest
      
    99
     
    Balance at January 25, 2014
     
    $
    7,384
     
     
    (Unaudited, amounts in thousands)
        
    Balance at April 28, 2012
     
    $
    5,911
     
    Net income
      
    609
     
    Other comprehensive income
      
    184
     
    Change in non-controlling interest
      
    97
     
    Balance at January 26, 2013
     
    $
    6,801
     
    XML 54 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Allowance for Credit Losses (Details) (USD $)
    3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    Allowance for Credit Losses [Abstract]        
    Notes receivable, gross $ 4,500,000   $ 4,500,000  
    Notes receivable written off during the period     2,700,000  
    Number of customers with notes receivable balance 5   5  
    Notes receivable, current 600,000   600,000  
    Allowance for Credit Losses [Member]
           
    Analysis of allowance for credit losses [Roll Forward]        
    Beginning balance 158,000 1,481,000 1,986,000 1,537,000
    Recoveries 0 (17,000) 0 (73,000)
    Write-offs 0 0 (1,888,000) 0
    Provision for credit losses 0 0 60,000 0
    Ending balance $ 158,000 $ 1,464,000 $ 158,000 $ 1,464,000
    XML 55 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Discontinued Operations
    9 Months Ended
    Jan. 25, 2014
    Discontinued Operations [Abstract]  
    Discontinued Operations
    Note 14: Discontinued Operations

    During the third quarter of fiscal 2014, we agreed in principle to sell our Bauhaus operating unitto a group of investors.  The agreement includes the sale of substantially all of the assets of our Bauhaus business unit.  As a result of the expected sale we recorded an impairment to the value of the assets to be sold of $1.1 million, because the consideration expected to be paid was less than the recorded amount of the net assets to be sold.

    Our Bauhaus business unit assets are reported as held for sale as of the end of the third quarter of fiscal 2014, and their operating results are reported as discontinued operations for all periods presented.  We had historically reported the results of our Bauhaus business unit as a component of our Upholstery segment. The transaction is expected to close in the fourth quarter of fiscal 2014, and continuing cash flows from the end of the third quarter of fiscal 2014 through the closing date of the sale are not expected to be significant.

    The results of the discontinued operations for Bauhaus for the third quarter and first nine months of fiscal 2014 and fiscal 2013 were as follows:
     
     
     
    Third Quarter Ended
      
    Nine Months Ended
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Net sales
     
    $
    9,101
      
    $
    8,937
      
    $
    27,100
      
    $
    27,142
     
     
                    
    Income (loss) from discontinued operations (including impairment of $1.1 million in fiscal 2014)
     
    $
    (1,097
    )
     
    $
    468
      
    $
    (1,323
    )
     
    $
    747
     
    Income tax benefit (expense)
      
    380
       
    (177
    )
      
    459
       
    (282
    )
    Income (loss) from discontinued operations, net of tax
     
    $
    (717
    )
     
    $
    291
      
    $
    (864
    )
     
    $
    465
     

    The assets and liabilities of Bauhaus that were classified as held for sale are as follows:

    (Unaudited, amounts in thousands)
     
    1/25/14
     
    Assets
     
     
    Receivables, net
     
    $
    3,672
     
    Inventories, net
      
    4,683
     
    Other current assets
      
    50
     
    Property, plant, and equipment, net
      
    518
     
    Total assets
     
    $
    8,923
     
     
        
    Liabilities
        
    Accounts payable
     
    $
    1,777
     
    Accrued expenses and other current liabilities
      
    876
     
    Total liabilities
     
    $
    2,653
     

    In the Consolidated Statement of Cash Flows, the activity of this operating unit was included along with our activity from continuing operations.
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    Pension Plans (Tables)
    9 Months Ended
    Jan. 25, 2014
    Pension Plans [Abstract]  
    Net Periodic Pension Costs
    Net periodic pension costs were as follows:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Service cost
     
    $
    311
      
    $
    308
      
    $
    933
      
    $
    924
     
    Interest cost
      
    1,206
       
    1,331
       
    3,618
       
    3,993
     
    Expected return on plan assets
      
    (1,701
    )
      
    (1,714
    )
      
    (5,100
    )
      
    (5,142
    )
    Net amortization
      
    893
       
    756
       
    2,676
       
    2,268
     
    Net periodic pension cost
     
    $
    709
      
    $
    681
      
    $
    2,127
      
    $
    2,043
     
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    Accumulated Other Comprehensive Loss (Details) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended 9 Months Ended 12 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    Apr. 27, 2013
    Accumulated Other Comprehensive Income Loss [Line Items]          
    Balance     $ (35,496)    
    Changes before reclassifications     (1,548)    
    Amounts reclassified to net income     2,573    
    Tax effect     (1,041)    
    Other comprehensive income (loss) attributable to La-Z-Boy Incorporated     (16)    
    Balance (35,512)   (35,512)   (35,496)
    Stockholders' Equity Attributable to Noncontrolling Interest [Roll Forward]          
    Balance at Beginning of period     7,140 5,911 5,911
    Net income 388 99 1,006 609  
    Other comprehensive income     (861) 184  
    Change in non-controlling interest     99 97 97
    Balance at End of period 7,384 6,801 7,384 6,801 7,140
    Unrealized gain on marketable securities [Member]
             
    Accumulated Other Comprehensive Income Loss [Line Items]          
    Balance     474    
    Changes before reclassifications     1,161    
    Amounts reclassified to net income     (282)    
    Tax effect     (339)    
    Other comprehensive income (loss) attributable to La-Z-Boy Incorporated     540    
    Balance 1,014   1,014    
    Translation adjustment [Member]
             
    Accumulated Other Comprehensive Income Loss [Line Items]          
    Balance     4,779    
    Changes before reclassifications     (1,669)    
    Amounts reclassified to net income     0    
    Tax effect     0    
    Other comprehensive income (loss) attributable to La-Z-Boy Incorporated     (1,669)    
    Balance 3,110   3,110    
    Change in fair value of cash flow hedge [Member]
             
    Accumulated Other Comprehensive Income Loss [Line Items]          
    Balance     231    
    Changes before reclassifications     (1,040)    
    Amounts reclassified to net income     179    
    Tax effect     332    
    Other comprehensive income (loss) attributable to La-Z-Boy Incorporated     (529)    
    Balance (298)   (298)    
    Net pension amortization and net actuarial loss [Member]
             
    Accumulated Other Comprehensive Income Loss [Line Items]          
    Balance     (40,980)    
    Changes before reclassifications     0    
    Amounts reclassified to net income     2,676    
    Tax effect     (1,034)    
    Other comprehensive income (loss) attributable to La-Z-Boy Incorporated     1,642    
    Balance $ (39,338)   $ (39,338)    
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    CONSOLIDATED BALANCE SHEET (Unaudited) (Parenthetical) (USD $)
    In Thousands, except Per Share data, unless otherwise specified
    Jan. 25, 2014
    Apr. 27, 2013
    Current assets    
    Receivables, allowance $ 12,706 $ 21,607
    Shareholders' equity    
    Preferred shares, authorized (in shares) 5,000 5,000
    Preferred shares, issued (in shares) 0 0
    Common shares, par value (in dollars per share) $ 1 $ 1
    Common shares, authorized (in shares) 150,000 150,000
    Common shares, outstanding (in shares) 52,419 52,392
    XML 59 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Inventories
    9 Months Ended
    Jan. 25, 2014
    Inventories [Abstract]  
    Inventories
    Note 3: Inventories
     
    A summary of inventories is as follows:
     
    (Unaudited, amounts in thousands)
     
    1/25/14
      
    4/27/13
     
    Raw materials
     
    $
    78,209
      
    $
    70,731
     
    Work in process
      
    13,616
       
    12,182
     
    Finished goods
      
    97,604
       
    93,273
     
    FIFO inventories
      
    189,429
       
    176,186
     
    Excess of FIFO over LIFO
      
    (29,843
    )
      
    (29,843
    )
    Inventories, net
     
    $
    159,586
      
    $
    146,343
     
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    Product Warranties (Tables)
    9 Months Ended
    Jan. 25, 2014
    Product Warranties [Abstract]  
    Reconciliation of changes in product warranty liability
    A reconciliation of the changes in our product warranty liability for the nine months ended January 25, 2014, and January 26, 2013, is as follows:

     
     
    Third Quarter Ended
      
    Nine Months Ended
     
     (Unaudited, amounts in thousands)
     
    1/25/14
      
    1/26/13
      
    1/25/14
      
    1/26/13
     
    Balance as of the beginning of the period
     
    $
    15,929
      
    $
    14,313
      
    $
    15,525
      
    $
    14,327
     
    Accruals during the period
      
    3,026
       
    4,143
       
    10,698
       
    11,050
     
    Reclass to discontinued operations
      
    (218
    )
      
       
    (218
    )
      
     
    Settlements during the period
      
    (3,615
    )
      
    (3,692
    )
      
    (10,883
    )
      
    (10,613
    )
    Balance as of the end of the period
     
    $
    15,122
      
    $
    14,764
      
    $
    15,122
      
    $
    14,764
     
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    In Thousands, unless otherwise specified
    3 Months Ended 9 Months Ended
    Jan. 25, 2014
    Jan. 26, 2013
    Jan. 25, 2014
    Jan. 26, 2013
    Pension Plans [Member]
           
    Defined Benefit Plan Disclosure [Line Items]        
    Service cost $ 311 $ 308 $ 933 $ 924
    Interest cost 1,206 1,331 3,618 3,993
    Expected return on plan assets (1,701) (1,714) (5,100) (5,142)
    Net amortization 893 756 2,676 2,268
    Net periodic pension cost $ 709 $ 681 $ 2,127 $ 2,043
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    Fair Value Measurements
    9 Months Ended
    Jan. 25, 2014
    Fair Value Measurements [Abstract]  
    Fair Value Measurements
    Note 13: Fair Value Measurements

    Accounting standards require the categorization of financial assets and liabilities, based on the inputs to the valuation technique, into a three-level fair value hierarchy. The various levels of the fair value hierarchy are described as follows:

    ·Level 1 — Financial assets and liabilities whose values are based on unadjusted quoted market prices for identical assets and liabilities in an active market that we have the ability to access.
     
     ·Level 2 — Financial assets and liabilities whose values are based on quoted prices in markets that are not active or model inputs that are observable for substantially the full term of the asset or liability.

    ·Level 3 — Financial assets and liabilities whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.

    Accounting standards require the use of observable market data, when available, in making fair value measurements. When inputs used to measure fair value fall within different levels of the hierarchy, the level within which the fair value measurement is categorized is based on the lowest level input that is significant to the fair value measurement.  Transfers between levels are recognized at the end of the reporting period in which they occur.

    In addition to assets and liabilities that are recorded at fair value on a recurring basis, we are required to record assets and liabilities at fair value on a non-recurring basis.  Non-financial assets such as trade names, goodwill, and other long-lived assets are measured at fair value when there is an indicator of impairment and recorded at fair value only when an impairment loss is recognized.  During the third quarter of fiscal 2014 we recorded the value of the assets of our Bauhaus business unit at fair value.  See Note 14 for further discussion.

    The following table presents the fair value hierarchy for those assets measured at fair value on a recurring basis at January 25, 2014, and April 27, 2013:

    As of January 25, 2014
     
     
     
    Fair Value Measurements
     
    (Unaudited, amounts in thousands)
     
    Level 1(a)
      
    Level 2(a)
      
    Level 3
     
    Assets
     
      
      
     
    Available-for-sale securities
     
    $
    1,225
      
    $
    51,154
      
    $
     
    Trading securities
      
       
    1,604
       
     
    Total
     
    $
    1,225
      
    $
    52,758
      
    $
     
     
    (a)There were no transfers between Level 1 and Level 2 during fiscal 2014.

    As of April 27, 2013
     
     
     
    Fair Value Measurements
     
    (Unaudited, amounts in thousands)
     
    Level 1(b)
      
    Level 2(b)
      
    Level 3
     
    Assets
     
      
      
     
    Available-for-sale securities
     
    $
    1,217
      
    $
    38,747
      
    $
     
    Trading securities
      
       
    1,126
       
     
    Total
     
    $
    1,217
      
    $
    39,873
      
    $
     
     
    (b)There were no transfers between Level 1 and Level 2 during fiscal 2013.

    At January 25, 2014, and April 27, 2013, we held available-for-sale marketable securities intended to enhance returns on our cash and to fund future obligations of our non-qualified defined benefit retirement plan, as well as trading securities to fund future obligations of our executive deferred compensation plan.  The fair value measurements for our securities are based upon quoted prices in active markets, as well as through broker quotes and independent valuation providers, multiplied by the number of shares owned exclusive of any transaction costs.