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Condensed Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jul. 01, 2023
Jul. 02, 2022
Jul. 01, 2023
Jul. 02, 2022
Dec. 31, 2022
Operating activities:          
Net income (loss) $ (22,464) $ 92,101 $ (56,868) $ 210,803  
Adjustments to reconcile net income (loss) to net cash from operating activities:          
Depreciation     35,703 36,555  
Amortization of acquisition intangibles     8,345 9,487  
Other amortization     6,398 5,196  
Loss on Extinguishment of Debt     8,466 0  
(Gain) Loss on Sale of Business and Classification of Assets Held For Sale     5,199 (10,495)  
Amortization of Debt Issuance Costs and Debt Discount     4,239 3,756  
Other     11,837 6,441  
Changes in assets and liabilities:          
Accounts receivable     46,671 (39,084)  
Inventories     132,956 (540,015)  
Other assets     (36,617) (49,533)  
Accounts payable     39,029 51,763  
Accrued pension and postretirement benefits     2,940 (495)  
Accrued liabilities and other     (76,065) (125,453)  
Net cash from operating activities     132,233 (441,074)   Close
Investing activities:          
Capital expenditures     (33,570) (37,946)  
Purchase of trademarks     0 (103,000)  
Proceeds from sales of assets     106 222  
Other     18,941 (5,640)  
Net cash from investing activities     (14,523) (146,364)   Close
Financing activities:          
Borrowings on Term Loan Facilities     891,000 0  
Repayments on Term Loan Facilities     (14,750) (12,500)  
Borrowings on Accounts Receivable Securitization Facility     1,051,000 737,789  
Repayments on Accounts Receivable Securitization Facility     (1,111,500) (633,089)  
Borrowings on Revolving Loan Facilities     977,500 727,500  
Repayments on Revolving Loan Facilities     (1,088,500) (369,500)  
Borrowings on Senior Notes     600,000 0  
Repayments on Senior Notes     (1,436,884) 0  
Borrowings on notes payable     0 21,454  
Repayments on notes payable     0 (21,713)  
Share repurchases     0 (25,018)  
Cash dividends paid     0 (104,621)  
Payments to amend and refinance credit facilities     (28,235) (451)  
Other     (2,792) (3,545)  
Net cash from financing activities     (163,161) 316,306   Close
Effect of changes in foreign exchange rates on cash     (1,130) (41,575)   Close
Change in cash and cash equivalents     (46,581) (312,707)   Close
Cash and cash equivalents at beginning of year     238,413 560,629 $ 560,629
Cash and cash equivalents at end of period $ 191,832 $ 247,922 191,832 247,922 238,413
Supplemental Cash Flow Information:          
Capital Expenditures Incurred but Not yet Paid     8,512   $ 10,549
Right-of-use assets obtained in exchange for lease obligations     $ 88,298 $ 41,638