2014 Q4 Form 10-Q Financial Statement

#000144530514005389 Filed on December 05, 2014

View on sec.gov

Income Statement

Concept 2014 Q4 2013 Q4
Revenue $148.9M $141.0M
YoY Change 5.58% -12.34%
Cost Of Revenue $59.56M $57.62M
YoY Change 3.38% -10.1%
Gross Profit $89.33M $83.41M
YoY Change 7.09% -13.83%
Gross Profit Margin 59.99% 59.15%
Selling, General & Admin $31.92M $30.85M
YoY Change 3.47% -13.46%
% of Gross Profit 35.73% 36.98%
Research & Development $28.40M $31.95M
YoY Change -11.1% -4.22%
% of Gross Profit 31.79% 38.3%
Depreciation & Amortization $12.20M $13.50M
YoY Change -9.63% 5.47%
% of Gross Profit 13.66% 16.18%
Operating Expenses $66.52M $70.15M
YoY Change -5.17% -9.15%
Operating Profit $22.81M $13.27M
YoY Change 71.96% -32.26%
Interest Expense -$1.500M $1.818M
YoY Change -182.51% -56.42%
% of Operating Profit -6.58% 13.71%
Other Income/Expense, Net $216.0K -$259.0K
YoY Change -183.4% -75.82%
Pretax Income -$2.858M -$3.746M
YoY Change -23.71% -59.22%
Income Tax $3.941M -$1.265M
% Of Pretax Income
Net Earnings $17.62M $12.45M
YoY Change 41.52% -24.94%
Net Earnings / Revenue 11.84% 8.83%
Basic Earnings Per Share $0.26 $0.18
Diluted Earnings Per Share $0.26 $0.18
COMMON SHARES
Basic Shares Outstanding 67.16M shares 67.79M shares
Diluted Shares Outstanding 67.65M shares 68.87M shares

Balance Sheet

Concept 2014 Q4 2013 Q4
SHORT-TERM ASSETS
Cash & Short-Term Investments $232.5M $237.4M
YoY Change -2.06% 13.05%
Cash & Equivalents $232.5M $237.4M
Short-Term Investments $0.00
Other Short-Term Assets $17.43M $20.99M
YoY Change -16.96% 14.42%
Inventory $60.46M $72.36M
Prepaid Expenses
Receivables $78.32M $74.15M
Other Receivables $0.00 $0.00
Total Short-Term Assets $394.6M $419.6M
YoY Change -5.95% -0.22%
LONG-TERM ASSETS
Property, Plant & Equipment $119.5M $115.9M
YoY Change 3.07% 15.49%
Goodwill $276.9M $393.6M
YoY Change -29.65% -0.23%
Intangibles $121.4M $180.2M
YoY Change -32.61% -15.04%
Long-Term Investments $600.0K $4.400M
YoY Change -86.36% -45.0%
Other Assets $28.82M $19.72M
YoY Change 46.11% -7.49%
Total Long-Term Assets $547.3M $756.1M
YoY Change -27.62% -3.58%
TOTAL ASSETS
Total Short-Term Assets $394.6M $419.6M
Total Long-Term Assets $547.3M $756.1M
Total Assets $941.9M $1.176B
YoY Change -19.89% -2.41%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $39.90M $38.80M
YoY Change 2.84% -24.07%
Accrued Expenses $43.30M $31.30M
YoY Change 38.35% -32.97%
Deferred Revenue
YoY Change
Short-Term Debt $0.00 $0.00
YoY Change
Long-Term Debt Due $18.54M $18.52M
YoY Change 0.11% -60.46%
Total Short-Term Liabilities $110.5M $101.2M
YoY Change 9.22% -34.06%
LONG-TERM LIABILITIES
Long-Term Debt $234.4M $277.9M
YoY Change -15.67% -3.94%
Other Long-Term Liabilities $27.54M $40.28M
YoY Change -31.63% 45.36%
Total Long-Term Liabilities $261.9M $318.2M
YoY Change -17.69% 0.37%
TOTAL LIABILITIES
Total Short-Term Liabilities $110.5M $101.2M
Total Long-Term Liabilities $261.9M $318.2M
Total Liabilities $372.4M $419.4M
YoY Change -11.2% -10.85%
SHAREHOLDERS EQUITY
Retained Earnings $417.2M $584.6M
YoY Change -28.64% 11.32%
Common Stock $367.2M $357.6M
YoY Change 2.7% -1.05%
Preferred Stock
YoY Change
Treasury Stock (at cost) $225.1M $189.8M
YoY Change 18.61% -7.44%
Treasury Stock Shares 11.45M shares 10.51M shares
Shareholders Equity $559.5M $752.7M
YoY Change
Total Liabilities & Shareholders Equity $941.9M $1.176B
YoY Change -19.89% -2.41%

Cashflow Statement

Concept 2014 Q4 2013 Q4
OPERATING ACTIVITIES
Net Income $17.62M $12.45M
YoY Change 41.52% -24.94%
Depreciation, Depletion And Amortization $12.20M $13.50M
YoY Change -9.63% 5.47%
Cash From Operating Activities $33.40M $29.00M
YoY Change 15.17% -47.18%
INVESTING ACTIVITIES
Capital Expenditures -$12.80M -$7.200M
YoY Change 77.78% -6.49%
Acquisitions
YoY Change
Other Investing Activities -$400.0K $500.0K
YoY Change -180.0% -109.09%
Cash From Investing Activities -$13.20M -$6.700M
YoY Change 97.01% -49.24%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net $15.00M
YoY Change
Debt Paid & Issued, Net
YoY Change
Cash From Financing Activities -26.40M -22.00M
YoY Change 20.0% 685.71%
NET CHANGE
Cash From Operating Activities 33.40M 29.00M
Cash From Investing Activities -13.20M -6.700M
Cash From Financing Activities -26.40M -22.00M
Net Change In Cash -6.200M 300.0K
YoY Change -2166.67% -99.23%
FREE CASH FLOW
Cash From Operating Activities $33.40M $29.00M
Capital Expenditures -$12.80M -$7.200M
Free Cash Flow $46.20M $36.20M
YoY Change 27.62% -42.17%

Facts In Submission

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<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;padding-top:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-style:italic;text-decoration:underline;">Fiscal Year</font></div><div style="line-height:120%;padding-top:6px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The Company reports results on the basis of </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">52</font><font style="font-family:inherit;font-size:10pt;"> and </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">53</font><font style="font-family:inherit;font-size:10pt;"> week periods and ends its fiscal year on the last Sunday in January. The other quarters generally end on the last Sunday of April, July and October. All quarters consist of </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">13</font><font style="font-family:inherit;font-size:10pt;"> weeks except for one </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">14</font><font style="font-family:inherit;font-size:10pt;">-week period in </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">53</font><font style="font-family:inherit;font-size:10pt;">-week years. The </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">third</font><font style="font-family:inherit;font-size:10pt;"> quarter of fiscal years </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">2015</font><font style="font-family:inherit;font-size:10pt;"> and </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">2014</font><font style="font-family:inherit;font-size:10pt;"> each consisted of </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">13</font><font style="font-family:inherit;font-size:10pt;"> weeks.</font></div></div>
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44000 USD
us-gaap Increase Decrease In Other Operating Liabilities
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5895000 USD
us-gaap Increase Decrease In Other Operating Liabilities
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1268000 USD
us-gaap Increase Decrease In Prepaid Deferred Expense And Other Assets
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1804000 USD
us-gaap Increase Decrease In Prepaid Deferred Expense And Other Assets
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3008000 USD
CY2014Q4 us-gaap Indefinite Lived Intangible Assets Excluding Goodwill
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4000000 USD
CY2014Q1 us-gaap Indefinite Lived Intangible Assets Excluding Goodwill
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4000000 USD
CY2014Q4 us-gaap Intangible Assets Net Excluding Goodwill
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121418000 USD
CY2014Q1 us-gaap Intangible Assets Net Excluding Goodwill
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140944000 USD
CY2014Q4 us-gaap Interest Rate Cash Flow Hedge Gain Loss To Be Reclassified During Next12 Months Net
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-600000 USD
CY2014Q4 us-gaap Interest Rate Derivative Assets At Fair Value
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65000 USD
CY2014Q1 us-gaap Interest Rate Derivative Assets At Fair Value
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316000 USD
CY2014Q4 us-gaap Inventory Finished Goods
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18717000 USD
CY2014Q1 us-gaap Inventory Finished Goods
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12788000 USD
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60459000 USD
CY2014Q1 us-gaap Inventory Net
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60267000 USD
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1438000 USD
CY2014Q1 us-gaap Inventory Raw Materials
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1971000 USD
CY2014Q1 us-gaap Inventory Work In Process
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45508000 USD
CY2014Q4 us-gaap Inventory Work In Process
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40304000 USD
CY2014Q1 us-gaap Inventory Write Down
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15000000 USD
us-gaap Inventory Write Down
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1100000 USD
CY2014Q4 us-gaap Investment Income Interest
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13000 USD
CY2013Q4 us-gaap Investment Income Interest
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81000 USD
us-gaap Investment Income Interest
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33000 USD
us-gaap Investment Income Interest
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272000 USD
CY2014Q4 us-gaap Investment Owned At Cost
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550000 USD
CY2014Q1 us-gaap Investment Owned At Cost
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3673000 USD
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CY2014Q4 us-gaap Liabilities Current
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326600000 USD
CY2013Q2 us-gaap Line Of Credit Facility Maximum Borrowing Capacity
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400000000 USD
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18529000 USD
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234384000 USD
CY2014Q1 us-gaap Long Term Debt Noncurrent
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273293000 USD
us-gaap Net Cash Provided By Used In Financing Activities
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-48356000 USD
us-gaap Net Cash Provided By Used In Financing Activities
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-78325000 USD
us-gaap Net Cash Provided By Used In Investing Activities
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-24827000 USD
us-gaap Net Cash Provided By Used In Investing Activities
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-26912000 USD
us-gaap Net Cash Provided By Used In Operating Activities
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87384000 USD
us-gaap Net Cash Provided By Used In Operating Activities
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94529000 USD
us-gaap Payments To Acquire Investments
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1050000 USD
us-gaap Number Of Operating Segments
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4 operating_segment
us-gaap Number Of Reportable Segments
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1 reportable_segment
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223606000 USD
us-gaap Operating Expenses
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70146000 USD
CY2014Q4 us-gaap Operating Expenses
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66516000 USD
us-gaap Operating Income Loss
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57800000 USD
us-gaap Operating Income Loss
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56016000 USD
CY2013Q4 us-gaap Operating Income Loss
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13265000 USD
CY2014Q4 us-gaap Operating Income Loss
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22810000 USD
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CY2014Q4 us-gaap Other Assets Current
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CY2014Q1 us-gaap Other Assets Fair Value Disclosure
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316000 USD
CY2014Q4 us-gaap Other Assets Fair Value Disclosure
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65000 USD
CY2014Q4 us-gaap Other Assets Noncurrent
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CY2014Q1 us-gaap Other Assets Noncurrent
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us-gaap Other Comprehensive Income Loss Before Tax
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-101000 USD
us-gaap Other Comprehensive Income Loss Before Tax
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-167000 USD
CY2014Q4 us-gaap Other Comprehensive Income Loss Before Tax
OtherComprehensiveIncomeLossBeforeTax
-19000 USD
CY2014Q4 us-gaap Other Comprehensive Income Loss Net Of Tax
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-45000 USD
us-gaap Other Comprehensive Income Loss Net Of Tax
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-115000 USD
us-gaap Other Comprehensive Income Loss Net Of Tax
OtherComprehensiveIncomeLossNetOfTax
-106000 USD
CY2013Q4 us-gaap Other Comprehensive Income Loss Net Of Tax
OtherComprehensiveIncomeLossNetOfTax
-143000 USD
us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Before Tax
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-151000 USD
us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Before Tax
OtherComprehensiveIncomeLossReclassificationAdjustmentFromAOCIOnDerivativesBeforeTax
-46000 USD
CY2014Q4 us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Before Tax
OtherComprehensiveIncomeLossReclassificationAdjustmentFromAOCIOnDerivativesBeforeTax
-71000 USD
CY2013Q4 us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Before Tax
OtherComprehensiveIncomeLossReclassificationAdjustmentFromAOCIOnDerivativesBeforeTax
-27000 USD
CY2013Q4 us-gaap Other Comprehensive Income Loss Tax
OtherComprehensiveIncomeLossTax
-82000 USD
us-gaap Other Comprehensive Income Loss Tax
OtherComprehensiveIncomeLossTax
-61000 USD
CY2014Q4 us-gaap Other Comprehensive Income Loss Tax
OtherComprehensiveIncomeLossTax
26000 USD
us-gaap Other Comprehensive Income Loss Tax
OtherComprehensiveIncomeLossTax
14000 USD
us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Before Tax
OtherComprehensiveIncomeUnrealizedGainLossOnDerivativesArisingDuringPeriodBeforeTax
-208000 USD
us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Before Tax
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-251000 USD
CY2014Q4 us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Before Tax
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-90000 USD
CY2013Q4 us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Before Tax
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-255000 USD
us-gaap Payments To Acquire Investments
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0 USD
CY2014Q4 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Before Tax
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0 USD
us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Before Tax
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-5000 USD
CY2013Q4 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Before Tax
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3000 USD
us-gaap Payments To Acquire Other Investments
PaymentsToAcquireOtherInvestments
3648000 USD
us-gaap Payments To Acquire Other Investments
PaymentsToAcquireOtherInvestments
0 USD
us-gaap Payments To Acquire Property Plant And Equipment
PaymentsToAcquirePropertyPlantAndEquipment
30750000 USD
CY2014Q1 us-gaap Other Liabilities Noncurrent
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25288000 USD
CY2014Q4 us-gaap Other Liabilities Noncurrent
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27542000 USD
us-gaap Other Nonoperating Income Expense
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-407000 USD
us-gaap Other Nonoperating Income Expense
OtherNonoperatingIncomeExpense
-1264000 USD
CY2014Q4 us-gaap Other Nonoperating Income Expense
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216000 USD
CY2013Q4 us-gaap Other Nonoperating Income Expense
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-259000 USD
CY2012Q2 us-gaap Payments For Hedge Financing Activities
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1100000 USD
us-gaap Payments For Repurchase Of Common Stock
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40906000 USD
us-gaap Payments For Repurchase Of Common Stock
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15000000 USD
us-gaap Payments For Restructuring
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3405000 USD
us-gaap Payments Of Financing Costs
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0 USD
us-gaap Payments Of Financing Costs
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2980000 USD
us-gaap Payments Related To Tax Withholding For Share Based Compensation
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8657000 USD
us-gaap Payments Related To Tax Withholding For Share Based Compensation
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6309000 USD
us-gaap Payments To Acquire Intangible Assets
PaymentsToAcquireIntangibleAssets
2583000 USD
us-gaap Payments To Acquire Intangible Assets
PaymentsToAcquireIntangibleAssets
1000000 USD
us-gaap Payments To Acquire Property Plant And Equipment
PaymentsToAcquirePropertyPlantAndEquipment
25459000 USD
CY2014Q1 us-gaap Prepaid Taxes
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4993000 USD
CY2014Q4 us-gaap Prepaid Taxes
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2900000 USD
us-gaap Proceeds From Issuance Of Long Term Debt
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0 USD
us-gaap Proceeds From Issuance Of Long Term Debt
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327344000 USD
us-gaap Proceeds From Sale And Maturity Of Available For Sale Securities
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3124000 USD
us-gaap Proceeds From Sale And Maturity Of Available For Sale Securities
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9499000 USD
us-gaap Proceeds From Sale Of Property Plant And Equipment
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57000 USD
us-gaap Proceeds From Sale Of Property Plant And Equipment
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71000 USD
us-gaap Proceeds From Stock Options Exercised
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14750000 USD
us-gaap Proceeds From Stock Options Exercised
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7952000 USD
CY2013Q4 us-gaap Profit Loss
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12453000 USD
CY2014Q4 us-gaap Profit Loss
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17623000 USD
us-gaap Profit Loss
ProfitLoss
46342000 USD
us-gaap Profit Loss
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43388000 USD
CY2014Q4 us-gaap Property Plant And Equipment Net
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119498000 USD
CY2014Q1 us-gaap Property Plant And Equipment Net
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110121000 USD
us-gaap Repayments Of Long Term Debt
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363813000 USD
us-gaap Repayments Of Long Term Debt
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39062000 USD
us-gaap Research And Development Expense
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84387000 USD
CY2014Q4 us-gaap Research And Development Expense
ResearchAndDevelopmentExpense
28401000 USD
CY2013Q4 us-gaap Research And Development Expense
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31948000 USD
us-gaap Research And Development Expense
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99632000 USD
CY2014Q4 us-gaap Restructuring Charges
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0 USD
CY2013Q4 us-gaap Restructuring Charges
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0 USD
us-gaap Restructuring Charges
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1001000 USD
us-gaap Restructuring Charges
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0 USD
CY2014Q2 us-gaap Restructuring Charges
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1000000 USD
CY2014Q1 us-gaap Restructuring Reserve
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2632000 USD
CY2014Q4 us-gaap Restructuring Reserve
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113000 USD
us-gaap Restructuring Reserve Accrual Adjustment
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115000 USD
CY2014Q1 us-gaap Retained Earnings Accumulated Deficit
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373836000 USD
CY2014Q4 us-gaap Retained Earnings Accumulated Deficit
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417224000 USD
us-gaap Sales Revenue Net
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CY2013Q4 us-gaap Sales Revenue Net
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141026000 USD
CY2014Q4 us-gaap Sales Revenue Net
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148890000 USD
us-gaap Sales Revenue Net
SalesRevenueNet
427491000 USD
us-gaap Selling General And Administrative Expense
SellingGeneralAndAdministrativeExpense
94935000 USD
us-gaap Selling General And Administrative Expense
SellingGeneralAndAdministrativeExpense
98958000 USD
CY2013Q4 us-gaap Selling General And Administrative Expense
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CY2014Q4 us-gaap Selling General And Administrative Expense
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31692000 USD
us-gaap Share Based Compensation
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us-gaap Share Based Compensation
ShareBasedCompensation
21610000 USD
us-gaap Stock Repurchase Program Authorized Amount
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100000000 USD
CY2011Q4 us-gaap Stock Repurchase Program Authorized Amount
StockRepurchaseProgramAuthorizedAmount
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us-gaap Stock Repurchased During Period Value
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CY2014Q1 us-gaap Stockholders Equity Including Portion Attributable To Noncontrolling Interest
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CY2014Q4 us-gaap Stockholders Equity Including Portion Attributable To Noncontrolling Interest
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CY2014Q4 us-gaap Treasury Stock Shares
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CY2014Q1 us-gaap Treasury Stock Shares
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CY2014Q4 us-gaap Treasury Stock Value
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CY2014Q1 us-gaap Treasury Stock Value
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CY2014Q1 us-gaap Unrecognized Tax Benefits
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CY2014Q4 us-gaap Unrecognized Tax Benefits
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us-gaap Unrecognized Tax Benefits Decreases Resulting From Settlements With Taxing Authorities
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4513000 USD
CY2014Q4 us-gaap Unrecognized Tax Benefits Income Tax Penalties And Interest Accrued
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CY2014Q1 us-gaap Unrecognized Tax Benefits Income Tax Penalties And Interest Accrued
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CY2014Q1 us-gaap Unrecognized Tax Benefits That Would Impact Effective Tax Rate
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CY2014Q4 us-gaap Unrecognized Tax Benefits That Would Impact Effective Tax Rate
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us-gaap Use Of Estimates
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<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-style:italic;text-decoration:underline;">Use of Estimates</font></div><div style="line-height:120%;padding-top:6px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities as of the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.</font></div></div>
us-gaap Weighted Average Number Diluted Shares Outstanding Adjustment
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CY2013Q4 us-gaap Weighted Average Number Diluted Shares Outstanding Adjustment
WeightedAverageNumberDilutedSharesOutstandingAdjustment
1079000 shares
CY2014Q4 us-gaap Weighted Average Number Diluted Shares Outstanding Adjustment
WeightedAverageNumberDilutedSharesOutstandingAdjustment
492000 shares
us-gaap Weighted Average Number Diluted Shares Outstanding Adjustment
WeightedAverageNumberDilutedSharesOutstandingAdjustment
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us-gaap Weighted Average Number Of Diluted Shares Outstanding
WeightedAverageNumberOfDilutedSharesOutstanding
68819000 shares
CY2013Q4 us-gaap Weighted Average Number Of Diluted Shares Outstanding
WeightedAverageNumberOfDilutedSharesOutstanding
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CY2014Q4 us-gaap Weighted Average Number Of Diluted Shares Outstanding
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us-gaap Weighted Average Number Of Diluted Shares Outstanding
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67791000 shares
CY2014Q4 us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
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CY2013Q4 us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
67792000 shares
us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
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us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
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us-gaap Write Off Of Deferred Debt Issuance Cost
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us-gaap Write Off Of Deferred Debt Issuance Cost
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smtc Amortization Of Acquisition Related Fair Value Adjustments
AmortizationOfAcquisitionRelatedFairValueAdjustments
2529000 USD
smtc Amortization Of Acquisition Related Fair Value Adjustments
AmortizationOfAcquisitionRelatedFairValueAdjustments
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smtc Change In Deferred Income Tax
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smtc Change In Deferred Income Tax
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6519000 USD
smtc Cost Method Investments Additions
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3648000 USD
CY2014Q4 smtc Cost Method Investments Number
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2 investment
smtc Depreciation Amortization And Impairment
DepreciationAmortizationAndImpairment
36247000 USD
smtc Depreciation Amortization And Impairment
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42386000 USD
smtc Income Or Loss From Continuing Operations Before Income Taxes By Domestic And International Source
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<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Income (loss) from continuing operations before income taxes is as follows:</font></div><div style="line-height:120%;text-align:center;font-size:10pt;"><font style="font-family:inherit;font-size:9pt;">&#160;</font><div style="padding-left:0px;text-indent:0px;line-height:normal;padding-top:10px;"><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman;font-size:10pt;margin-left:auto;margin-right:auto;width:74.609375%;border-collapse:collapse;text-align:left;"><tr><td colspan="16" rowspan="1"></td></tr><tr><td width="26%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="15%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="16%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="16%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="16%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">&#160;</font></div></td><td colspan="7" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">Three Months Ended</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="7" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">Nine Months Ended</font></div></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">(in thousands)</font></div></td><td colspan="3" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">October&#160;26, <br clear="none"/>2014</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="3" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">October&#160;27, <br clear="none"/>2013</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="3" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">October&#160;26, <br clear="none"/>2014</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="3" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;border-top:1px solid #000000;" rowspan="1"><div style="text-align:center;font-size:8pt;"><font style="font-family:inherit;font-size:8pt;">October&#160;27, <br 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#000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">)</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">(3,746</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-right:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">)</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">(13,997</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-right:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">)</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">(21,991</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-right:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">)</font></div></td></tr><tr><td style="vertical-align:top;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Foreign</font></div></td><td colspan="2" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1"><div style="text-align:right;font-size:10pt;"><font 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clear="none"/></font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="2" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">65,169</font></div></td><td style="vertical-align:bottom;border-bottom:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="2" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">62,065</font></div></td><td style="vertical-align:bottom;border-bottom:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:top;background-color:#cceeff;padding-left:28px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Total</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid 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style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">11,188</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">51,172</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">$</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">40,074</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;background-color:#cceeff;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr></table></div></div></div>
smtc Increase Decrease In Deferred Tax Liabilities
IncreaseDecreaseInDeferredTaxLiabilities
-1000 USD
CY2013Q4 smtc Increase Decrease In Deferred Tax Liabilities
IncreaseDecreaseInDeferredTaxLiabilities
1000 USD
CY2014Q4 smtc Increase Decrease In Deferred Tax Liabilities
IncreaseDecreaseInDeferredTaxLiabilities
0 USD
smtc Increase Decrease In Deferred Tax Liabilities
IncreaseDecreaseInDeferredTaxLiabilities
0 USD
CY2014Q4 smtc Liability For Uncertain Tax Positions Current And Noncurrent
LiabilityForUncertainTaxPositionsCurrentAndNoncurrent
7834000 USD
CY2014Q1 smtc Liability For Uncertain Tax Positions Current And Noncurrent
LiabilityForUncertainTaxPositionsCurrentAndNoncurrent
12347000 USD
smtc Numberof Operating Segmentsthat Aggregateinto One Reportable Segment
NumberofOperatingSegmentsthatAggregateintoOneReportableSegment
3 reportable_segment
smtc Numberof Reporting Units
NumberofReportingUnits
2 reporting_unit
smtc Percentageofuncertaintaxpositionsevaluatingcriteria
Percentageofuncertaintaxpositionsevaluatingcriteria
0.50
CY2013Q2 smtc Priorcreditfacilitiesrepaymentofoutstandingobligations
Priorcreditfacilitiesrepaymentofoutstandingobligations
327500000 USD
smtc Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Change In Liabilities In Period
ShareBasedCompensationArrangementByShareBasedPaymentAwardEquityInstrumentsOtherThanOptionsChangeInLiabilitiesInPeriod
16000 USD
CY2013Q3 smtc Stock Repurchase Program Additional Amount Authorized
StockRepurchaseProgramAdditionalAmountAuthorized
50000000 USD
dei Amendment Flag
AmendmentFlag
false
dei Current Fiscal Year End Date
CurrentFiscalYearEndDate
--01-25
dei Document Fiscal Period Focus
DocumentFiscalPeriodFocus
Q3
dei Document Fiscal Year Focus
DocumentFiscalYearFocus
2015
dei Document Period End Date
DocumentPeriodEndDate
2014-10-26
dei Document Type
DocumentType
10-Q
dei Entity Central Index Key
EntityCentralIndexKey
0000088941
CY2014Q4 dei Entity Common Stock Shares Outstanding
EntityCommonStockSharesOutstanding
66752087 shares
dei Entity Filer Category
EntityFilerCategory
Large Accelerated Filer
dei Entity Registrant Name
EntityRegistrantName
SEMTECH CORP
CY2012Q2 invest Derivative Notional Amount
DerivativeNotionalAmount
175000000 USD

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