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RESTRUCTURING ACTIVITIES (Tables)
12 Months Ended
Dec. 26, 2020
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Activities The Company recorded the following pre-tax expenses:    
ESSUtilityCoatingsIrrigationOther/ CorporateTOTAL
Severance$474 $241 $424 $— $— $1,139 
Other cash restructuring expenses181 1,070 596 — — 1,847 
Impairments of fixed assets/net loss on disposals345 2,866 540 — — 3,751 
   Total cost of sales1,000 4,177 1,560 — — 6,737 
Severance4,441 2,393 2,231 2,968 1,761 13,794 
Other cash restructuring expenses1,700 71 160 — 244 2,175 
Impairments of assets/net loss on disposals443 — — — — 443 
  Total selling, general and administrative expenses6,584 2,464 2,391 2,968 2,005 16,412 
      Consolidated total$7,584 $6,641 $3,951 $2,968 $2,005 $23,149 
Schedule of Liabilities Recorded For The Restructuring Plan And Changes Change in the current liabilities recorded for the restructuring plans were as follows:
Balance at December 28, 2019Recognized Restructuring ExpenseCosts Paid or Otherwise Settled Balance at December 26, 2020
Severance$— $14,933 $(2,273)$12,660 
Other cash restructuring expenses— 4,022 (4,022)— 
   Total $— $18,955 $(6,295)$12,660