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Restructuring, integration and other charges (Tables)
9 Months Ended
Mar. 29, 2014
Fiscal Year 2014 [Member]
 
Restructuring Cost and Reserve [Line Items]  
Charges related to the acquisition and integration activities
The following table presents the restructuring, integration and other expenses incurred during the third quarter and first nine months of fiscal 2014:
 
Third Quarter
Ended
March 29, 2014
 
Nine Months
Ended
March 29, 2014
 
(Thousands, except per share data)
Restructuring expenses
$
19,276

 
$
46,180

Integration costs
3,864

 
12,332

Other costs including acquisition costs
2,329

 
6,870

Changes in estimates for prior restructuring liabilities
614

 
1,242

Restructuring, integration and other expenses before tax
$
26,083

 
$
66,624

Restructuring, integration and other expenses after tax
$
19,275

 
$
49,872

Restructuring, integration and other expenses per share on a diluted basis
$
0.14

 
$
0.36

Activity related to the restructuring reserves
The activity related to the restructuring liabilities established during fiscal 2014 is presented in the following table:
 
Severance
 
Facility
Exit Costs and Asset Impairments
 
Other
 
Total
 
(Thousands)
Fiscal 2014 restructuring expenses
$
38,857

 
$
6,442

 
$
881

 
$
46,180

Cash payments
(13,839
)
 
(1,630
)
 
(9
)
 
(15,478
)
Non-cash amounts
(260
)
 
(2,591
)
 
(538
)
 
(3,389
)
Other, principally foreign currency translation
19

 
(6
)
 
10

 
23

Balance at March 29, 2014
$
24,777

 
$
2,215

 
$
344

 
$
27,336

Fiscal Year 2013 [Member]
 
Restructuring Cost and Reserve [Line Items]  
Activity related to the restructuring reserves
The following table presents the activity during the first nine months of fiscal 2014 related to the remaining restructuring liabilities established during fiscal 2013:
 
Severance
 
Facility
Exit Costs and Asset Impairments
 
Other
 
Total
 
(Thousands)
Balance at June 29, 2013
$
25,254

 
$
16,211

 
$
370

 
$
41,835

Cash payments
(19,501
)
 
(5,844
)
 
(1,230
)
 
(26,575
)
Changes in estimates, net
(2,198
)
 
(1,285
)
 
1,590

 
(1,893
)
Non-cash amounts

 
538

 
(756
)
 
(218
)
Other, principally foreign currency translation
197

 
310

 
151

 
658

Balance at March 29, 2014
$
3,752

 
$
9,930

 
$
125

 
$
13,807