Annual report pursuant to Section 13 and 15(d)

RESTRUCTURING CHARGES (Details 2)

v2.4.0.6
RESTRUCTURING CHARGES (Details 2) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Mar. 31, 2013
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount $ 4,756
Employee Severance [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 2,711
Facility Closing [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 2,045
Other Restructuring [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 0
Fiscal Year 2014 [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 3,021
Fiscal Year 2014 [Member] | Employee Severance [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 2,711
Fiscal Year 2014 [Member] | Facility Closing [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 310
Fiscal Year 2014 [Member] | Other Restructuring [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 0
Fiscal Year 2015 To 2019 [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 1,735
Fiscal Year 2015 To 2019 [Member] | Employee Severance [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 0
Fiscal Year 2015 To 2019 [Member] | Facility Closing [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount 1,735
Fiscal Year 2015 To 2019 [Member] | Other Restructuring [Member]
 
Estimated timing of future payouts:  
Effect on Future Cash Flows, Amount $ 0