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Balance Sheet Detail (Tables)
6 Months Ended
Sep. 28, 2014
Balance Sheet Related Disclosures [Abstract]  
Balance Sheet Detail
(in thousands)
September 28,
2014
 
March 30,
2014
Inventories, net
 
 
 
Raw materials
$
5,473

 
$
7,745

Work-in-process
14,400

 
18,436

Finished goods
17,766

 
23,441

Total inventories, net
$
37,639

 
$
49,622

 
 
 
 
Property, plant and equipment, net
 

 
 

Land
$
11,716

 
$
11,724

Machinery and equipment
291,566

 
289,393

Building and leasehold improvements
48,362

 
48,558

  Total property, plant and equipment, gross
351,644

 
349,675

Less: accumulated depreciation
(285,879
)
 
(279,848
)
Total property, plant and equipment, net (1)
$
65,765

 
$
69,827

Other accrued liabilities
 
 
 
Short-term portion of supplier obligations (2)
$
248

 
$
762

Accrued severance costs (3)
7,201

 
638

Other (4)
7,156

 
10,125

Total other accrued liabilities
$
14,605

 
$
11,525

Other long-term obligations
 
 
 
Deferred compensation related liabilities
$
13,638

 
$
13,786

Other
4,806

 
4,897

Total other long-term liabilities
$
18,444

 
$
18,683

(1) As of March 30, 2014, total property, plant and equipment, net includes the HSC business assets held for sale of $2.9 million. As of September 28, 2014, the net carrying value of HSC business long-lived assets is zero. See Note 3 for additional information.
(2) Supplier obligations represent payments due under various software design tool and technology license agreements.
(3) Includes accrued severance costs related to the HSC business of $6.8 million as of September 28, 2014.
(4) Other current liabilities consist primarily of acquisition related accrued contingent liabilities, accrued royalties and outside commissions and other accrued unbilled expenses.