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RESTRUCTURING, IMPAIRMENT AND OTHER CHARGES: (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Mar. 31, 2014
Restructuring activity      
Restructuring charges and adjustments $ 11,632 $ 19,784 $ 12,966
Continuing operations      
Restructuring activity      
Balance at the beginning of the period 12,439 8,055 6,480
Restructuring charges and adjustments 11,632 19,784 12,966
Payments (17,692) (15,400) (11,391)
Balance at the end of the period 6,379 12,439 8,055
Fiscal 2016 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments 12,000    
Fiscal 2015 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments   21,800  
Fiscal 2015 | Gains, losses and other items, net | France      
Restructuring activity      
Restructuring charges and adjustments   3,000  
Adjustments   1,400  
Associate-related reserves | Continuing operations      
Restructuring activity      
Balance at the beginning of the period 7,211 6,542 3,689
Restructuring charges and adjustments 8,630 13,284 12,910
Payments (12,986) (12,615) (10,057)
Balance at the end of the period 2,855 7,211 6,542
Associate-related reserves | Fiscal 2016 | United States, Europe, Brazil and Australia      
Restructuring activity      
Restructuring charges and adjustments 8,600    
Balance at the end of the period 2,400    
Associate-related reserves | Fiscal 2016 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments 8,600    
Associate-related reserves | Fiscal 2015 | United States, Australia, China and Europe      
Restructuring activity      
Restructuring charges and adjustments   13,300  
Associate-related reserves | Fiscal 2015 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments   13,300  
Associate-related reserves | Fiscal 2014 | United States, Australia, China and Europe      
Restructuring activity      
Restructuring charges and adjustments   700  
Balance at the end of the period 500    
Associate-related reserves | Fiscal 2014 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments     13,000
Lease accruals | Continuing operations      
Restructuring activity      
Balance at the beginning of the period 5,228 1,513 2,791
Restructuring charges and adjustments 3,002 6,500 56
Payments (4,706) (2,785) (1,334)
Balance at the end of the period 3,524 5,228 $ 1,513
Lease accruals | Fiscal 2016 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments 3,000    
Lease accruals | Fiscal 2015      
Restructuring activity      
Balance at the end of the period 3,500    
Lease accruals | Fiscal 2015 | Gains, losses and other items, net      
Restructuring activity      
Balance at the beginning of the period 200    
Restructuring charges and adjustments   6,500  
Balance at the end of the period   200  
Lease accruals | Fiscal 2015 | Gains, losses and other items, net | France      
Restructuring activity      
Restructuring charges and adjustments   1,400  
Write-off of leasehold improvements | Fiscal 2016 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments $ 400    
Write-off of leasehold improvements | Fiscal 2015 | Gains, losses and other items, net      
Restructuring activity      
Restructuring charges and adjustments   $ 2,000