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Restructuring and Related Charges (Liability Activity) (Details 3) - USD ($)
$ in Thousands
3 Months Ended
Nov. 30, 2017
Nov. 30, 2016
Restructuring Cost and Reserve [Line Items]    
Liability, Beginning Balance $ 38,388  
Restructuring and related charges [1],[2] 11,388 $ 35,902
Asset write-off charge and other non-cash activity (6,935)  
Cash payments (11,289)  
Liability, Ending Balance 31,552  
Employee severance and benefit costs    
Restructuring Cost and Reserve [Line Items]    
Liability, Beginning Balance 33,580  
Restructuring and related charges 3,977 19,386
Asset write-off charge and other non-cash activity (123)  
Cash payments (9,856)  
Liability, Ending Balance 27,578  
Lease costs    
Restructuring Cost and Reserve [Line Items]    
Liability, Beginning Balance 1,665  
Restructuring and related charges   3,291
Cash payments (69)  
Liability, Ending Balance 1,596  
Asset write-off costs    
Restructuring Cost and Reserve [Line Items]    
Liability, Beginning Balance 0  
Restructuring and related charges 6,812 $ 12,640
Cash payments (6,812)  
Liability, Ending Balance 0  
Other Related Costs    
Restructuring Cost and Reserve [Line Items]    
Liability, Beginning Balance 3,143  
Restructuring and related charges 599  
Cash payments (1,364)  
Liability, Ending Balance $ 2,378  
[1]

(1 ) Includes $ 5.9 million and $ 7.4 million recorded in the EMS segment, $ 4.6 million and $ 11.5 million recorded in the DMS segment and $ 0.9 million and $ 17.0 million of non-allocated charges for the three months ended November 30 , 2017 and 2016 , respectively. Except for asset write-off costs, all restructuring and related charges are cash costs.

[2]

(2) Primarily relates to the 2017 Restructuring Plan.