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Commitments and Contingencies (Tables)
3 Months Ended
Apr. 03, 2016
Commitments and Contingencies Disclosure [Abstract]  
Summary of unrecorded unconditional purchase obligations
Future purchase obligations under non-cancellable purchase orders and long-term supply agreements as of April 3, 2016 are as follows:
(In thousands)
 
Fiscal 2016 (remaining nine months)
 
Fiscal 2017
 
Fiscal 2018
 
Fiscal 2019
 
Fiscal 2020
 
Thereafter
 
Total1,2,3
Future purchase obligations
 
$
839,386

 
350,325

 
200,475

 
175,696

 
161,832

 
3,000

 
$
1,730,714

1 
Total future purchase obligations as of April 3, 2016 include $181.2 million to related parties.
2 
Total future purchase obligations were composed of $249.3 million related to non-cancellable purchase orders and $1.5 billion related to long-term supply agreements.
3 During fiscal 2015, we did not fulfill all of the purchase commitments we were otherwise obligated to take by December 31, 2015, as specified in related contracts with a supplier. As of April 3, 2016, the Company has recorded an offsetting asset, recorded within "Prepaid expenses and other current assets," and liability, recorded within "Accrued liabilities," totaling $50.6 million. This amount represents the unfulfilled amount as of that date as the Company expects to satisfy the obligation via purchases of inventory in fiscal 2016, within the applicable contractual cure period.

Schedule of estimated utilization of advances from customers
The estimated utilization of advances from customers as of April 3, 2016 is as follows:
(In thousands)
 
Fiscal 2016 (remaining nine months)
 
Fiscal 2017
 
Fiscal 2018
 
Fiscal 2019
 
Fiscal 2020
 
Thereafter
 
Total
Estimated utilization of advances from customers
 
$
19,267

 
36,319

 
27,039

 
28,842

 
43,263

 

 
$
154,730

Schedule of product warranty liability
The following table summarizes accrued warranty activity for the three months ended April 3, 2016 and March 29, 2015, respectively:
 
 
Three Months Ended
(In thousands)
 
April 3, 2016
 
March 29, 2015
Balance at the beginning of the period
 
$
164,127

 
$
154,648

Accruals for warranties issued during the period
 
5,879

 
8,161

Settlements and adjustments during the period
 
(3,566
)
 
(8,711
)
Balance at the end of the period
 
$
166,440

 
$
154,098