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EMPLOYEE BENEFIT PLANS (Details)
12 Months Ended
May 23, 2016
USD ($)
shares
Mar. 31, 2017
USD ($)
Objectives
Plans
Age
$ / shares
shares
Mar. 31, 2016
USD ($)
$ / shares
shares
Mar. 31, 2015
USD ($)
$ / shares
Compensation Related Costs [Line Items]        
Share-based compensation expense nonvested restricted stock   $ 7,100,000    
Share-based compensation expense nonvested options   $ 3,800,000    
Defined contribution pension match percent   3.00%    
Defined contribution pension match gross pay   3.00%    
Defined contribution amount   $ 12,300,000 $ 14,400,000 $ 15,200,000
Pension plan investment strategy, number of objectives | Objectives   3    
Change in benefit obligation:        
Projected benefit obligation (PBO) at beginning of period   $ 525,053,000 639,299,000  
Service cost for benefits earned during the period   627,000 8,243,000 7,878,000
Interest cost on PBO   15,330,000 20,108,000 26,000,000
Actuarial loss (gain)   73,622,000 (17,096,000)  
Benefit payments and expenses   (26,456,000) (29,836,000)  
Curtailments   0 (12,960,000)  
Settlements   0 (65,799,000)  
Effect of exchange rate changes   (70,990,000) (16,906,000)  
Projected benefit obligation (PBO) at end of period   517,186,000 525,053,000 639,299,000
Change in plan assets:        
Market value of assets at beginning of period   454,946,000 539,723,000  
Actual return on assets   71,873,000 (6,271,000)  
Employer contributions   16,530,000 32,128,000  
Benefit payments and expenses   (26,456,000) (29,836,000)  
Settlements   0 (65,799,000)  
Effect of exchange rate changes   (61,354,000) (14,999,000)  
Market value of assets at end of period   455,539,000 454,946,000 539,723,000
Reconciliation of funded status:        
Accumulated benefit obligation (ABO)   517,186,000 524,540,000  
Net recognized pension liability   61,647,000 70,107,000  
Amounts recognized in accumulated other comprehensive loss   220,396,000 235,720,000  
Components of net periodic pension cost        
Service cost for benefits earned during the period   627,000 8,243,000 7,878,000
Interest cost on PBO   15,330,000 20,108,000 26,000,000
Expected return on assets   (21,697,000) (27,208,000) (31,020,000)
Amortization of unrecognized losses   7,266,000 8,246,000 6,653,000
Net periodic pension cost   1,526,000 $ 9,389,000 9,511,000
Amount in accumulated OCI expected to be recognized in following fiscal year   $ 6,500,000    
Defined benefit plan, assets, target allocations        
Target allocation of plan assets   100.00% 100.00%  
Actual allocation of plan assets   100.00% 100.00%  
Projected benefit payments by year        
2018   $ 19,882,000    
2019   20,382,000    
2020   20,883,000    
2021   21,508,000    
2022   22,008,000    
Aggregate 2023 - 2027   $ 117,417,000    
Incentive Compensation        
Common Stock shares reserved | shares   7,946,425    
Stock-based compensation expense   $ 12,352,000 $ 21,181,000 16,353,000
Options, outstanding, weighted average exercise price, beginning balance | $ / shares   $ 57.74    
Options, grants in period, weighted average exercise price | $ / shares   16.21    
Options, expired or forfeited in period, weighted average exercise price | $ / shares   57.79    
Options, outstanding, weighted average exercise price, ending balance | $ / shares   42.78 $ 57.74  
Options, exercisable, weighted average exercise price | $ / shares   $ 55.95    
Options, outstanding, number, beginning balance | shares   2,041,442    
Options, grants in period | shares   1,024,168    
Options, expired or forfeited in period | shares   222,002    
Options, outstanding, number, ending balance | shares   2,843,608 2,041,442  
Options, exercisable | shares   1,431,992    
Options, exercisable, weighted average remaining contractual term   6 years 7 months 29 days    
Options, outstanding, weighted average remaining contractual term   4 years 4 months 25 days    
Options, outstanding, intrinsic value   $ 0    
Options, exercisable, intrinsic value   $ 0    
Share-based compensation, nonvested awards, number of shares | shares   1,411,616    
Tax benefit attributable to options exercised   $ 0 $ 0 1,600,000
Non-vested Restricted Stock, nonvested, number, beginning balance | shares   440,856    
Non-vested Restricted Stock, grants in period | shares   642,753    
Non-vested Restricted Stock, vested in period | shares   298,581    
Non-vested Restricted Stock, forfeited in period | shares   45,535    
Non-vested Restricted Stock, nonvested, number, ending balance | shares   739,493 440,856  
Non-vested Restricted Stock, weighted average grant date fair value, beginning balance | $ / shares   $ 65.24    
Non-vested Restricted Stock, grants in period, weighted average grant date fair value | $ / shares   10.21    
Non-vested Restricted Stock, forfeited in period, weighted average grant date fair value | $ / shares   59.78    
Non-vested Restricted Stock, vested in period, weighted average grant date fair value | $ / shares   42.39    
Non-vested Restricted Stock, weighted average grant date fair value, ending balance | $ / shares   $ 26.97 $ 65.24  
Cash Bonus   $ 5,000,000 $ 0 19,900,000
Contributions to deferred compensation plan   600,000 1,300,000 1,500,000
Rabbi Trust investments   3,100,000    
Voluntary Separation Program [Member]        
Incentive Compensation        
Severance cost   1,686,000 8,550,000 0
Voluntary Separation Program [Member] | Cost of Sales [Member]        
Incentive Compensation        
Severance cost   1,663,000 7,664,000 0
Voluntary Separation Program [Member] | General and Administrative Expense [Member]        
Incentive Compensation        
Severance cost   23,000 886,000 0
Involuntary Separation Program [Member]        
Incentive Compensation        
Severance cost   15,176,000 13,950,000 925,000
Involuntary Separation Program [Member] | Cost of Sales [Member]        
Incentive Compensation        
Severance cost   5,938,000 5,162,000 233,000
Involuntary Separation Program [Member] | General and Administrative Expense [Member]        
Incentive Compensation        
Severance cost   9,238,000 8,788,000 $ 692,000
Fair value, measurements, recurring        
Incentive Compensation        
Rabbi Trust investments   $ 3,075,000 $ 2,990,000  
Stock options        
Incentive Compensation        
Award requisite service period   3 years    
Fair value assumptions, risk free interest rate   1.07% 1.62% 1.67%
Fair value assumptions, expected life (years)   5 years 5 years 5 years
Fair value assumptions, volatility   46.80% 28.10% 30.10%
Fair value assumptions, dividend yield   2.74% 3.14% 2.06%
Weighted average grant-date fair value of options granted | $ / shares   $ 2.16 $ 10.71 $ 17.17
Share-based compensation, nonvested awards, compensation cost not yet recognized, period for recognition   1 year 6 months    
Share-based compensation vested awards fair value   $ 7,800,000 $ 7,400,000 $ 8,900,000
Share-based compensation arrangement by share-based payment award, options, exercises in period, intrinsic value   0 0 2,400,000
Employee service share-based compensation, cash received from exercise of stock options   0 0 5,200,000
Tax benefit attributable to options exercised   $ 0 0 600,000
Restricted stock and restricted stock units        
Incentive Compensation        
Award requisite service period   3 years    
Stock-based compensation expense   $ 8,000,000 12,900,000 10,100,000
Share-based compensation, nonvested awards, compensation cost not yet recognized, period for recognition   1 year 7 months    
Performance cash        
Incentive Compensation        
Award requisite service period   3 years    
Performance cash max payout   $ 11,400,000 10,700,000 11,300,000
Performance cash compensation expense   $ 7,000,000 1,400,000 14,100,000
Performance cash | Maximum        
Incentive Compensation        
Performance cash, percentage of target amount   200.00%    
Performance cash | Minimum        
Incentive Compensation        
Performance cash, percentage of target amount   0.00%    
Plan 2007        
Incentive Compensation        
Common Stock shares reserved | shares   10,646,729    
Common Stock award, maximum | shares   500,000    
Number of shares available for grant | shares   4,360,908    
Plan 2007 | 2007 Plan Amendment [Member]        
Incentive Compensation        
Common Stock, shares reserved for issuance | shares 6,400,000      
Common Stock, full value shares reserved | shares 3,200,000      
Common Stock, additional capital shares reserved for future issuance | shares 5,250,000      
Common Stock, additional full value shares reserved for future issuance | shares 2,625,000      
Common Stock award, maximum | shares 1,000,000      
Number of shares considered, stock option and stock appreciation right granted | shares 1      
Number of shares considered, stock option and stock appreciation right settled | shares 2      
Total compensation expense authorized for non-employee directors $ 1,125,000      
Plan 2007 | Stock options        
Incentive Compensation        
Stock options, expiration period   10 years    
Plan 2004 | Stock options        
Incentive Compensation        
Stock options, expiration period   10 years    
Original terms        
Incentive Compensation        
Retirement terms, years of service   5 years    
Retirement terms, years of service and retirement age   62 years    
First amendment        
Incentive Compensation        
Retirement terms, years of service and retirement age   80 years    
Share-based compensation award, tranche one | Stock options        
Incentive Compensation        
Award vesting rights, percentage   33.00%    
Share-based compensation award, tranche two | Stock options        
Incentive Compensation        
Award vesting rights, percentage   33.00%    
Share-based compensation award, tranche three | Stock options        
Incentive Compensation        
Award vesting rights, percentage   33.00%    
Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   $ 14,229,000    
Market value of assets at end of period   70,650,000 14,229,000  
Fair value, inputs, Level 1 | Fair value, measurements, recurring        
Incentive Compensation        
Rabbi Trust investments   3,075,000 2,990,000  
Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   438,233,000    
Market value of assets at end of period   384,889,000 438,233,000  
Fair value, inputs, Level 2 | Fair value, measurements, recurring        
Incentive Compensation        
Rabbi Trust investments   0 0  
Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   2,484,000    
Market value of assets at end of period   0 2,484,000  
Fair value, inputs, Level 3 | Fair value, measurements, recurring        
Incentive Compensation        
Rabbi Trust investments   $ 0 $ 0  
Equity securities        
Defined benefit plan, assets, target allocations        
Target allocation of plan assets   64.80% 58.30%  
Actual allocation of plan assets   51.10% 60.70%  
Debt securities        
Defined benefit plan, assets, target allocations        
Target allocation of plan assets   34.80% 31.10%  
Actual allocation of plan assets   33.40% 35.90%  
Property        
Defined benefit plan, assets, target allocations        
Target allocation of plan assets   0.00% 0.00%  
Actual allocation of plan assets   0.00% 0.10%  
Other assets        
Defined benefit plan, assets, target allocations        
Target allocation of plan assets   0.40% 10.60%  
Actual allocation of plan assets   15.50% 3.30%  
Cash and cash equivalents        
Change in plan assets:        
Market value of assets at beginning of period   $ 14,229,000    
Market value of assets at end of period   70,650,000 $ 14,229,000  
Cash and cash equivalents | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   14,229,000    
Market value of assets at end of period   70,650,000 14,229,000  
Cash and cash equivalents | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Cash and cash equivalents | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Equity investments - U.K.        
Change in plan assets:        
Market value of assets at beginning of period   61,085,000    
Market value of assets at end of period   47,392,000 61,085,000  
Equity investments - U.K. | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Equity investments - U.K. | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   61,085,000    
Market value of assets at end of period   47,392,000 61,085,000  
Equity investments - U.K. | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Equity investments - Non-U.K.        
Change in plan assets:        
Market value of assets at beginning of period   117,140,000    
Market value of assets at end of period   185,567,000 117,140,000  
Equity investments - Non-U.K. | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Equity investments - Non-U.K. | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   117,140,000    
Market value of assets at end of period   185,567,000 117,140,000  
Equity investments - Non-U.K. | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Diviersified growth (absolute return) funds        
Change in plan assets:        
Market value of assets at beginning of period   98,024,000    
Market value of assets at end of period     98,024,000  
Diviersified growth (absolute return) funds | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period     0  
Diviersified growth (absolute return) funds | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   98,024,000    
Market value of assets at end of period     98,024,000  
Diviersified growth (absolute return) funds | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period     0  
Government debt securities        
Change in plan assets:        
Market value of assets at beginning of period   72,728,000    
Market value of assets at end of period   80,654,000 72,728,000  
Government debt securities | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Government debt securities | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   72,728,000    
Market value of assets at end of period   80,654,000 72,728,000  
Government debt securities | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Corporate debt securities        
Change in plan assets:        
Market value of assets at beginning of period   89,256,000    
Market value of assets at end of period   71,276,000 89,256,000  
Corporate debt securities | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Corporate debt securities | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   89,256,000    
Market value of assets at end of period   71,276,000 89,256,000  
Corporate debt securities | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period   0 0  
Insurance policies        
Change in plan assets:        
Market value of assets at beginning of period   2,484,000    
Market value of assets at end of period     2,484,000  
Insurance policies | Fair value, inputs, Level 1        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period     0  
Insurance policies | Fair value, inputs, Level 2        
Change in plan assets:        
Market value of assets at beginning of period   0    
Market value of assets at end of period     0  
Insurance policies | Fair value, inputs, Level 3        
Change in plan assets:        
Market value of assets at beginning of period   $ 2,484,000    
Market value of assets at end of period     $ 2,484,000  
Chief Executive Officer        
Incentive Compensation        
Severance cost       $ 5,500,000
Non-employee directors | Plan 2003        
Incentive Compensation        
Common Stock shares reserved | shares   250,000    
Stock options, grants in period, net of forfeitures | shares   5,000    
Non-employee directors | Plan 2003 | Stock options        
Incentive Compensation        
Stock options, expiration period   10 years    
Award requisite service period   6 months    
Pension plan | U.K. pension plan        
Compensation Related Costs [Line Items]        
Annual rate increase limit   5.00%    
Number of original closed defined benefit pension plans | Plans   2    
Minimum contribution match   5.00%    
Number of other defined contribution plans | Plans   3    
Number of other defined contribution plans closed to new members | Plans   2    
Estimated cash contributions   $ 15,800,000    
Assumptions used        
Discount rate   3.30% 3.30% 4.40%
Expected return on plan assets   5.30% 5.40% 6.29%
Pension increase rate   2.80% 2.80% 3.10%
Pension plan | U.K. pension plan | Pilot        
Compensation Related Costs [Line Items]        
Closed plan maximum contribution   7.35%    
Pension plan | U.K. pension plan | Other employee        
Compensation Related Costs [Line Items]        
Closed plan maximum contribution   7.00%    
Pension plan | Norway pension plan        
Compensation Related Costs [Line Items]        
Years of service for maximum pension | Age   30    
Assumptions used        
Discount rate     2.50% 4.25%
Rate of compensation increase     3.50% 4.00%
Social security increase amount     3.25% 3.75%
Expected return on plan assets     1.50% 2.75%
Pension increase rate     0.00% 1.75%
Pension plan | Norway pension plan | Pilot        
Compensation Related Costs [Line Items]        
Retirement age | Age   58    
Pension plan | Norway pension plan | Other employee        
Compensation Related Costs [Line Items]        
Retirement age | Age   62