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Consolidated Statements of Changes in Equity - USD ($)
Total
Total EnerSys Stockholders’ Equity
Preferred Stock
Common Stock
Additional Paid-in Capital
Treasury Stock
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Contra-Equity
Non- redeemable Non- Controlling Interests
Beginning Balance at Mar. 31, 2019 $ 1,286,017,000 $ 1,282,287,000 $ 0 $ 548,000 $ 512,696,000 $ (530,760,000) $ 1,450,325,000 $ (142,682,000) $ (7,840,000) $ 3,730,000
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Stock-based compensation 20,780,000 20,780,000     20,780,000          
Exercise of stock options 1,417,000 1,417,000   3,000 1,414,000          
Shares issued under equity awards (taxes paid related to net share settlement of equity awards), net (6,393,000) (6,393,000)     (6,393,000)          
Purchase of common stock (34,561,000) (34,561,000)       (34,561,000)        
Reissuance of treasury stock towards employee stock purchase plan 872,000 872,000     (73,000) 945,000        
Contra equity - indemnification receivable for acquisition related tax liability 1,116,000 1,116,000             1,116,000 0
Other (80,000) (80,000)     (80,000)          
Net earnings 137,116,000 137,116,000         137,116,000     0
Dividends (29,705,000) (29,705,000)     756,000   (30,461,000)      
Other comprehensive income:                    
Pension funded status adjustment, (net of tax (expense) benefit) (2,003,000) (2,003,000)           (2,003,000)    
Net unrealized gain (loss) on derivative instruments (net of tax benefit (expense)) (5,793,000) (5,793,000)           (5,793,000)    
Foreign currency translation adjustment (64,721,000) (64,528,000)           (64,528,000)   (193,000)
Ending Balance at Mar. 31, 2020 1,304,062,000 1,300,525,000 0 551,000 529,100,000 (564,376,000) 1,556,980,000 (215,006,000) (6,724,000) 3,537,000
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Stock-based compensation 19,817,000 19,817,000     19,817,000          
Exercise of stock options 9,114,000 9,114,000   4,000 9,110,000          
Shares issued under equity awards (taxes paid related to net share settlement of equity awards), net (5,153,000) (5,153,000)     (5,153,000)          
Reissuance of treasury stock towards employee stock purchase plan 846,000 846,000     (49,000) 895,000        
Contra equity - indemnification receivable for acquisition related tax liability 1,369,000 1,369,000             1,369,000  
Other 571,000 571,000     571,000          
Net earnings 143,374,000 143,374,000         143,374,000      
Dividends (29,831,000) (29,831,000)     772,000   (30,603,000)      
Other comprehensive income:                    
Pension funded status adjustment, (net of tax (expense) benefit) 1,847,000 1,847,000           1,847,000    
Net unrealized gain (loss) on derivative instruments (net of tax benefit (expense)) 6,283,000 6,283,000           6,283,000    
Foreign currency translation adjustment 91,277,000 90,993,000           90,993,000   284,000
Ending Balance at Mar. 31, 2021 1,543,576,000 1,539,755,000 0 555,000 554,168,000 (563,481,000) 1,669,751,000 (115,883,000) (5,355,000) 3,821,000
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Stock-based compensation 24,289,000 24,289,000     24,289,000          
Exercise of stock options 1,336,000 1,336,000   2,000 1,334,000          
Shares issued under equity awards (taxes paid related to net share settlement of equity awards), net (9,150,000) (9,150,000)     (9,150,000)          
Purchase of common stock (156,366,000) (156,366,000)       (156,366,000)        
Contra equity - indemnification receivable for acquisition related tax liability 1,735,000 1,735,000             1,735,000  
Other 828,000 828,000     100,000 728,000        
Net earnings 143,911,000 143,911,000         143,911,000      
Dividends (29,353,000) (29,353,000)     723,000   (30,076,000)      
Dissolution of joint venture (47,000)                 (47,000)
Other comprehensive income:                    
Pension funded status adjustment, (net of tax (expense) benefit) 8,310,000 8,310,000           8,310,000    
Net unrealized gain (loss) on derivative instruments (net of tax benefit (expense)) 2,603,000 2,603,000           2,603,000    
Foreign currency translation adjustment (38,397,000) (38,525,000)           (38,525,000)   128,000
Ending Balance at Mar. 31, 2022 $ 1,493,275,000 $ 1,489,373,000 $ 0 $ 557,000 $ 571,464,000 $ (719,119,000) $ 1,783,586,000 $ (143,495,000) $ (3,620,000) $ 3,902,000