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Restructuring and Other Charges (Tables) - Fiscal 2021 Strategic Realignment Plan
3 Months Ended
Jun. 26, 2021
Restructuring Cost and Reserve [Line Items]  
Restructuring and Related Costs
A summary of the charges recorded in connection with the Fiscal 2021 Strategic Realignment Plan during the fiscal periods presented (inclusive of immaterial other restructuring-related charges previously recorded during the first quarter of Fiscal 2021), as well as cumulative charges recorded since its inception, is as follows:
Three Months Ended
June 26,
2021
June 27,
2020
Cumulative Charges
 (millions)
Cash-related restructuring charges:
Severance and benefit costs$(4.0)$2.5 $140.2 
Other cash charges1.9 0.1 16.8 
Total cash-related restructuring charges(2.1)2.6 157.0 
Non-cash charges:
Impairment of assets (see Note 7)18.6 2.1 88.0 
Inventory-related charges(a)
— 1.3 8.3 
Accelerated stock-based compensation expense(b)
2.0 — 2.0 
Total non-cash charges20.6 3.4 98.3 
Total charges$18.5 $6.0 $255.3 
 
(a)Inventory-related charges are recorded within cost of goods sold in the consolidated statements of operations.
(b)Accelerated stock-based compensation expense, which was recorded within restructuring and other charges in the consolidated statements of operations, related to vesting provisions associated with certain separation agreements.
Schedule of Restructuring Reserve by Type of Cost
A summary of current period activity in the restructuring reserve related to the Fiscal 2021 Strategic Realignment Plan is as follows:
Severance and Benefit CostsOther Cash ChargesTotal
(millions)
Balance at March 27, 2021$96.2 $3.2 $99.4 
Additions (reductions) charged to expense(4.0)1.9 (2.1)
Cash payments applied against reserve(23.0)(1.6)(24.6)
Non-cash adjustments0.5 — 0.5 
Balance at June 26, 2021$69.7 $3.5 $73.2