XML 50 R25.htm IDEA: XBRL DOCUMENT v3.25.1
Restructuring
12 Months Ended
Jan. 26, 2025
Restructuring and Related Activities [Abstract]  
Restructuring Restructuring
The Company has undertaken structural reorganization actions to reduce its workforce as a result of cost-saving measures and internal resource alignment including from the realization of synergies of the Sierra Wireless Acquisition. The Company also implemented a separate reduction in workforce plan that commenced during the second quarter of fiscal year 2024 and was substantially completed during the third quarter of fiscal year 2024. Additionally, the Company had $3.9 million of right-of-use asset impairments related to abandonments in fiscal year 2024. These reorganization actions and right-of-use asset impairments resulted in total restructuring charges of $4.9 million in fiscal year 2025 and $24.6 million in fiscal year 2024. The Company had restructuring charges of $12.0 million in fiscal year 2023. Restructuring related liabilities are included in "Accrued liabilities" in the Balance Sheets.
Restructuring activity is summarized as follows:
(in thousands)One-time employee termination benefitsOther restructuringTotal
Balance at January 30, 2022$— $— $— 
Charges11,320 655 11,975 
Assumed restructuring liability in Sierra Wireless Acquisition586 — 586 
Cash payments and non-cash releases(7,879)(643)(8,522)
Balance at January 29, 20234,027 12 4,039 
Charges (1)
17,793 6,841 24,634 
Cash payments and non-cash releases(16,021)(6,375)(22,396)
Balance at January 28, 20245,799 478 6,277 
Charges
4,836 108 4,944 
Cash payments and non-cash releases(9,848)(586)(10,434)
Balance at January 26, 2025$787 $— $787 
(1) Restructuring charges include $6.0 million during fiscal year 2024 related to the reduction in workforce plan that commenced during the second quarter of fiscal year 2024 and was completed during the second half of fiscal year 2024.
Restructuring charges were included in the Statements of Operations as follows:
Fiscal Year Ended
(in thousands)January 26, 2025January 28, 2024January 29, 2023
Cost of sales$— $859 $417 
Restructuring4,944 23,775 11,558 
Total restructuring charges (1)
$4,944 $24,634 $11,975 
(1) Restructuring charges include $6.0 million during fiscal year 2024 related to the reduction in workforce plan that commenced during the second quarter of fiscal year 2024 and was completed during the second half of fiscal year 2024.