| Financial Statement Details |
Financial Statement Details Accounts Receivable, net The following table summarizes the components of accounts receivable, net (in thousands): | | | | | | | | | | September 27, 2015 | | June 28, 2015 | Billed trade receivables |
| $252,191 |
| |
| $246,969 |
| Unbilled contract receivables | 1,662 |
| | 2,223 |
|
| 253,853 |
| | 249,192 |
| Allowance for sales returns, discounts and other incentives | (54,430 | ) | | (58,094 | ) | Allowance for bad debts | (5,642 | ) | | (4,941 | ) | Accounts receivable, net |
| $193,781 |
| |
| $186,157 |
|
Inventories The following table summarizes the components of inventories (in thousands): | | | | | | | | | | September 27, 2015 | | June 28, 2015 | Raw material |
| $80,759 |
| |
| $86,331 |
| Work-in-progress | 98,618 |
| | 93,424 |
| Finished goods | 109,712 |
| | 100,821 |
| Inventories |
| $289,089 |
| |
| $280,576 |
|
Other Current Liabilities The following table summarizes the components of other current liabilities (in thousands): | | | | | | | | | | September 27, 2015 | | June 28, 2015 | Accrued taxes |
| $15,002 |
| |
| $13,935 |
| Accrued professional fees | 10,529 |
| | 10,180 |
| Accrued warranty | 12,669 |
| | 13,006 |
| Accrued other | 7,464 |
| | 7,087 |
| Other current liabilities |
| $45,664 |
| |
| $44,208 |
|
Accumulated Other Comprehensive Income, net of taxes The following table summarizes the components of accumulated other comprehensive income, net of taxes (in thousands): | | | | | | | | | | September 27, 2015 | | June 28, 2015 | Currency translation gain |
| $4,627 |
| |
| $4,986 |
| Net unrealized gain on available-for-sale securities | 1,604 |
| | 812 |
| Accumulated other comprehensive income, net of taxes |
| $6,231 |
| |
| $5,798 |
|
Non-Operating (Loss) Income, net The following table summarizes the components of non-operating (loss) income, net (in thousands): | | | | | | | | | | Three Months Ended | | September 27, 2015 | | September 28, 2014 | Foreign currency loss, net |
| ($4,294 | ) | |
| ($231 | ) | Gain on sale of investments, net | 2 |
| | 2 |
| Loss on equity method investment | (19,948 | ) | | — |
| Interest income, net | 1,297 |
| | 3,032 |
| Other, net | 137 |
| | 101 |
| Non-operating (loss) income, net |
| ($22,806 | ) | |
| $2,904 |
|
Reclassifications Out of Accumulated Other Comprehensive Income, net of taxes The following table summarizes the amounts reclassified out of accumulated other comprehensive income, net of taxes (in thousands): | | | | | | | | | | | | Accumulated Other Comprehensive Income Component | | Amount Reclassified Out of Accumulated Other Comprehensive Income | | Affected Line Item in the Consolidated Statements of (Loss) Income | | | Three Months Ended | | | | | September 27, 2015 | | September 28, 2014 | | | Net unrealized gain on available-for-sale securities, net of taxes | |
| $2 |
| |
| $2 |
| | Non-operating (loss) income, net | | | 2 |
| | 2 |
| | (Loss) income before income taxes | | | 1 |
| | — |
| | Income tax (benefit) expense | | |
| $1 |
| |
| $2 |
| | Net (loss) income |
|