Note 10 - Restructuring and Other Impairment Activities - Schedule of Restructuring Reserve (Details) $ in Thousands |
12 Months Ended | |||||||
---|---|---|---|---|---|---|---|---|
Jun. 30, 2021
USD ($)
| ||||||||
Restructuring Reserve | $ (31) | |||||||
New Charges (Income) | 3,050 | |||||||
(Payments) Receipts | 2,136 | |||||||
Restructuring Reserve | 1,084 | |||||||
Non-Cash | 4,071 | |||||||
Lease Exit Costs [Member] | ||||||||
Restructuring Reserve | (90) | |||||||
New Charges (Income) | 1,537 | |||||||
Non-Cash | (966) | |||||||
(Payments) Receipts | (1,768) | |||||||
Restructuring Reserve | 645 | [1] | ||||||
Impairments of Long-lived Assets [Member] | ||||||||
Restructuring Reserve | 0 | |||||||
New Charges (Income) | 623 | |||||||
(Payments) Receipts | 0 | |||||||
Restructuring Reserve | 0 | |||||||
Non-Cash | 623 | |||||||
Optimization of Manufacturing and Logistics [Member] | ||||||||
Restructuring Reserve | 0 | |||||||
New Charges (Income) | 356 | |||||||
(Payments) Receipts | (64) | |||||||
Restructuring Reserve | 200 | [2] | ||||||
Non-Cash | 92 | |||||||
Sale of Property, Plant and Equipment [Member] | ||||||||
Restructuring Reserve | 0 | |||||||
New Charges (Income) | (473) | |||||||
(Payments) Receipts | 4,907 | |||||||
Restructuring Reserve | 0 | |||||||
Non-Cash | 4,434 | |||||||
Inventory Write-downs and Additional Reserves [Member] | ||||||||
Restructuring Reserve | 0 | |||||||
New Charges (Income) | 585 | |||||||
(Payments) Receipts | 0 | |||||||
Restructuring Reserve | 0 | |||||||
Non-Cash | 585 | |||||||
Employee Severance and Other Charges (Income) [Member] | ||||||||
Restructuring Reserve | 59 | |||||||
New Charges (Income) | 422 | |||||||
Non-Cash | (697) | |||||||
(Payments) Receipts | (939) | |||||||
Restructuring Reserve | $ 239 | [3] | ||||||
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