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RESTRUCTURING, IMPAIRMENT AND OTHER CHARGES: (Tables)
12 Months Ended
Mar. 31, 2020
Restructuring and Related Activities [Abstract]  
Summary of restructuring activity
The following table summarizes the Company's restructuring activity for the fiscal years ended March 31, 2020, 2019, and 2018 (dollars in thousands): 
Associate-related
reserves
Lease
accruals
Total
March 31, 2017$322  $4,308  $4,630  
Restructuring charges and adjustments182  2,564  2,746  
Payments38  (1,584) (1,546) 
March 31, 2018542  5,288  5,830  
Restructuring charges and adjustments6,163  1,582  7,745  
Payments(2,110) (1,182) (3,292) 
March 31, 20194,595  5,688  10,283  
Restructuring charges and adjustments2,291  1,139  3,430  
Payments(6,436) (584) (7,020) 
March 31, 2020$450  $6,243  $6,693  
Schedule of gains, losses and other items
The following table summarizes the activity included in gains, losses and other items, net in the consolidated statements of operations for each of the periods presented (dollars in thousands): 
Year ended March 31,
202020192018
Restructuring plan charges and adjustments$3,430  $7,745  $2,746  
Early contract terminations908  12,188  —  
Other663  —  (23) 
$5,001  $19,933  $2,723