HOLOGIC INC XBRL Taxonomy Presentation Networks

-Network: (11 - Statement - Statement Of Financial Position Classified)
-Statement of Financial Position [Abstract] {ID1}
-Statement [Table] {ID2}
-Statement [Line Items] {ID3}
-Current assets: {ID5}
Cash and cash equivalents {ID6}
Restricted cash {ID7}
Accounts receivable, less reserves of $7,117 and $6,326, respectively {ID8}
Inventories (Note 5) {ID9}
Deferred income tax assets {ID10}
Prepaid income taxes {ID11}
Prepaid expenses and other current assets {ID12}
Total current assets {ID13}
Property and equipment, net (Note 5) {ID14}
Intangible assets, net (Note 17) {ID15}
Goodwill (Note 17) {ID16}
Other assets {ID17}
Total assets {ID18}
-Current liabilities: {ID20}
Current portion of long-term debt {ID21}
Accounts payable {ID22}
Accrued expenses {ID23}
Deferred revenue {ID24}
Deferred gain {ID25}
Total current liabilities {ID26}
Long-term debt, net of current portion (Note 6) {ID27}
Convertible debt (Note 6) {ID28}
Deferred income tax liabilities {ID29}
Deferred service obligations - long-term {ID30}
Other long-term liabilities {ID31}
Commitments and contingencies (Notes 6, 7, 8, 13, 14 and 15) {ID32}
-Stockholders' equity: {ID33}
Preferred stock, $0.01 par value - 1,623 shares authorized; 0 shares issued {ID34}
Common stock, $0.01 par value - 750,000 shares authorized; 256,817 and 256,373 shares issued, respectively {ID35}
Capital in excess of par value {ID36}
Accumulated deficit {ID37}
Accumulated other comprehensive income {ID38}
Treasury stock, at cost - 214 shares {ID39}
Total stockholders' equity {ID40}
Total liabilities and stockholders' equity {ID41}
-Network: (12 - Statement - Statement Of Financial Position Classified (Parenthetical))
-Statement of Financial Position [Abstract] {ID42}
-Statement [Table] {ID43}
-Statement [Line Items] {ID44}
Accounts receivable, reserves {ID45}
Preferred stock, par value {ID46}
Preferred stock, shares authorized {ID47}
Preferred stock, shares issued {ID48}
Common stock, par value {ID49}
Common stock, shares authorized {ID50}
Common stock, shares issued {ID51}
Treasury stock, shares {ID52}
-Network: (13 - Statement - Statement Of Income Alternative)
-Income Statement [Abstract] {ID53}
-Statement [Table] {ID54}
-Statement [Line Items] {ID55}
-Revenues: {ID56}
Product sales {ID57}
Service and other revenues {ID58}
Revenues, Total {ID59}
-Costs and expenses: {ID60}
Cost of product sales {ID61}
Cost of product sales - amortization of intangible assets {ID62}
Cost of product sales - impairment of acquired intangible assets (Note 17) {ID63}
Cost of service and other revenues {ID64}
Research and development {ID65}
Selling and marketing {ID66}
General and administrative {ID67}
Amortization of acquired intangible assets {ID68}
Impairment of goodwill (Note 17) {ID69}
Impairment of acquired intangible assets (Note 17) {ID70}
Acquired in-process research and development (Note 4) {ID71}
Restructuring charge (Note 16) {ID72}
Costs and Expenses, Total {ID73}
Income (loss) from operations {ID74}
Interest income {ID75}
Interest expense {ID76}
Other income (expense), net {ID77}
Income (loss) before income taxes {ID78}
Provision for income taxes {ID79}
Net income (loss) {ID80}
-Net income (loss) per common share: {ID81}
Basic {ID82}
Diluted {ID83}
-Weighted average number of common shares outstanding: {ID84}
Basic {ID85}
Diluted {ID86}
-Network: (14 - Statement - Statement Of Cash Flows Indirect)
-Statement of Cash Flows [Abstract] {ID87}
-Statement [Table] {ID88}
-Statement [Line Items] {ID89}
-Cash flows from operating activities: {ID90}
Net loss {ID91}
-Adjustments to reconcile net loss to net cash provided by operating activities: {ID92}
Depreciation {ID93}
Amortization {ID94}
Fair value write-up of Third Wave and Cytyc inventory {ID95}
Non-cash interest expense {ID96}
Goodwill impairment charge {ID97}
Charge for in-process research and development {ID98}
Charge for impairment of acquired intangible assets {ID99}
Other-than-temporary impairment charges on cost-method investments {ID100}
Excess tax benefit related to exercise of non-qualified stock options {ID101}
Stock-based compensation expense {ID102}
Deferred income taxes {ID103}
Loss on disposal of property and equipment {ID104}
Other non-cash activity {ID105}
-Changes in assets and liabilities, net of acquisitions: {ID106}
Accounts receivable {ID107}
Inventories {ID108}
Prepaid income taxes {ID109}
Prepaid expenses and other assets {ID110}
Accounts payable {ID111}
Accrued expenses and other liabilities {ID112}
Deferred revenue {ID113}
Net cash provided by operating activities {ID114}
-Cash flows from investing activities: {ID115}
Merger with Cytyc Corporation, net of cash acquired {ID116}
Additional business acquisition consideration, net {ID117}
Decrease in restricted cash {ID118}
Purchase of insurance contracts {ID119}
Purchase of property and equipment {ID120}
Increase in equipment under customer usage agreements {ID121}
Purchase of licensed technology and other intangible assets {ID122}
Proceeds from sale of intellectual property {ID123}
Purchase of cost method investment {ID124}
Proceeds from sale of cost method investment {ID125}
Purchases of investment securities {ID126}
Proceeds from sales and maturities of investment securities {ID127}
Deferred gain {ID128}
Net cash used in investing activities {ID129}
-Cash flows from financing activities: {ID130}
Proceeds from issuance of convertible notes, net of issuance costs {ID131}
Proceeds under credit agreement, net of issuance costs {ID132}
Repayments under credit agreement {ID133}
Payment upon conversion of Cytyc convertible notes {ID134}
Financing costs on credit agreement {ID135}
Proceeds from notes payable {ID136}
Repayments of notes payable {ID137}
Excess tax benefit related to exercise of non-qualified stock options {ID138}
Net proceeds from sale of common stock pursuant to employee stock plans {ID139}
Payments of employee restricted stock tax withholdings {ID140}
Net cash (used in) provided by financing activities {ID141}
Effect of exchange rate changes on cash and cash equivalents {ID142}
Net increase in cash and cash equivalents {ID143}
Cash and cash equivalents, beginning of period {ID144}
Cash and cash equivalents, end of period {ID145}
-Network: (15 - Disclosure - Notes to Financial Statements)
-Notes to Financial Statements [Abstract] {ID146}
(1) Basis of Presentation {ID147}
(2) Fair Value Measurements {ID148}
(3) Disclosure of Fair Value of Financial Instruments {ID149}
(4) Business Combinations {ID150}
(5) Other Balance Sheet Information {ID151}
(6) Indebtedness {ID152}
(7) Commitments and Contingencies {ID153}
(8) Pension and Other Employee Benefits {ID154}
(9) Net Income (Loss) Per Share {ID155}
(10) Stock-Based Compensation {ID156}
(11) Comprehensive Income (Loss) {ID157}
(12) Business Segments and Geographic Information {ID158}
(13) Litigation and Other Matters {ID159}
(14) Income Taxes {ID160}
(15) Product Warranties {ID161}
(16) Restructuring Accrual {ID162}
(17) Goodwill and Intangible Assets {ID163}
(18) Sale of Gestiva {ID164}
(19) Recent Accounting Pronouncements {ID165}
-Network: (16 - Disclosure - Document Information)
-Document Information [Text Block] {ID166}
Document Type {ID167}
Amendment Flag {ID168}
Amendment Description {ID169}
Document Period End Date {ID170}
-Network: (17 - Disclosure - Entity Information)
-Entity [Text Block] {ID171}
Trading Symbol {ID172}
Entity Registrant Name {ID173}
Entity Central Index Key {ID174}
Current Fiscal Year End Date {ID175}
Entity Well-known Seasoned Issuer {ID176}
Entity Current Reporting Status {ID177}
Entity Voluntary Filers {ID178}
Entity Filer Category {ID179}
Entity Common Stock, Shares Outstanding {ID180}
Entity Public Float {ID181}