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Note 9 - Balance Sheet Detail
9 Months Ended
Dec. 29, 2013
Disclosure Text Block Supplement [Abstract]  
Supplemental Balance Sheet Disclosures [Text Block]

NOTE 9.    BALANCE SHEET DETAIL


Our inventories consisted of the following as of the dates indicated below (in thousands):


   

December29,

2013

   

March 31,

2013

 

Work-in-process and raw materials

  $ 14,454     $ 9,981  

Finished goods

    10,496       9,449  

Total inventories

  $ 24,950     $ 19,430  

Our property, plant and equipment consisted of the following as of the dates indicated below (in thousands):


   

December29,

2013

   

March 31,

2013

 

Land

  $     $ 6,660  

Building

    860       16,224  

Machinery and equipment

    40,736       42,258  

Software and licenses

    17,377       17,566  

Property, plant and equipment, total

    58,973       82,708  

Accumulated depreciation and amortization

    (50,189 )     (58,608 )

Total property, plant and equipment, net

  $ 8,784     $ 24,100  

Our other current liabilities consisted of the following as of the dates indicated below (in thousands):


   

December29,

2013

   

March 31,

2013

 

Fair value of earn-out liability short-term

  $ 2,230     $ 2,599  

Accrued restructuring charges and exit costs

    1,957       2,020  

Short-term lease financing obligations

    1,700       3,189  

Accrued manufacturing expenses, royalties and licenses

    1,669       2,370  

Purchase consideration holdback

    1,256       250  

Accrued legal and professional services

    866       746  

Accrued sales and marketing expenses

    573       576  

Accrual for dispute resolution

          2,727  

Other

    900       738  

Total other current liabilities

  $ 11,151     $ 15,215  

Our other non-current obligations consisted of the following (in thousands) as of the dates indicated:


   

December29,

2013

   

March 31,

2013

 

Fair value of earn-out liability – long–term

  $ 10,131     $ 7,539  

Long-term taxes payable

    749       2,225  

Accrued restructuring charges and exit costs

    14       1,266  

Other

    636       174  

Total other non-current obligations

  $ 11,530     $ 11,204