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Condensed Consolidated Statements Of Equity Condensed Consolidatd Statements of Equity - USD ($)
shares in Thousands, $ in Thousands
Total
Common Stock
Treasury Stock, Common
Additional Paid-in Capital
Retained Earnings
Foreign currency translation adjustments
Defined benefit pension adjustments
Interest rate swap - cash flow hedge
Beginning Balance at Dec. 31, 2022 $ 3,218,000 $ 1,493 $ (7,112) $ 2,205,325 $ 1,031,391 $ (49,083) $ (83) $ 36,069
Common Stock , Issued, Beginning at Dec. 31, 2022   149,339            
Balance (in shares) Beginning at Dec. 31, 2022   149,137 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (in shares)   530            
Shares issued under stock plans 8,987 $ 6   8,981        
Share-based compensation expense 30,678     30,678        
Dividends, Common Stock, Cash (15,092)       (15,092)      
Interest rate swap - cash flow hedge (9,955)             (9,955)
Pension liability adjustments 37           37  
Foreign currency translation adjustments 23,734         23,734    
Net income (88,166)       (88,166)      
Ending Balance at Apr. 01, 2023 3,168,223 $ 1,499 $ (7,112) 2,244,984 928,133 (25,349) (46) 26,114
Common Stock , Issued, Ending at Apr. 01, 2023   149,869            
Balance (in shares) Ending at Apr. 01, 2023   149,667 (202)          
Beginning Balance at Dec. 31, 2022 3,218,000 $ 1,493 $ (7,112) 2,205,325 1,031,391 (49,083) (83) 36,069
Common Stock , Issued, Beginning at Dec. 31, 2022   149,339            
Balance (in shares) Beginning at Dec. 31, 2022   149,137 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Interest rate swap - cash flow hedge (239)              
Pension liability adjustments 37              
Foreign currency translation adjustments (14,277)              
Net income 109,480              
Ending Balance at Jul. 01, 2023 3,352,205 $ 1,503 $ (7,112) 2,274,572 1,110,818 (63,360) (46) 35,830
Common Stock , Issued, Ending at Jul. 01, 2023   150,308            
Balance (in shares) Ending at Jul. 01, 2023   150,106 (202)          
Beginning Balance at Apr. 01, 2023 3,168,223 $ 1,499 $ (7,112) 2,244,984 928,133 (25,349) (46) 26,114
Common Stock , Issued, Beginning at Apr. 01, 2023   149,869            
Balance (in shares) Beginning at Apr. 01, 2023   149,667 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (in shares)   439            
Shares issued under stock plans 18,134 $ 4   18,130        
Share-based compensation expense 11,458     11,458        
Dividends, Common Stock, Cash (14,961)       (14,961)     0
Interest rate swap - cash flow hedge 9,716             9,716
Pension liability adjustments 0              
Foreign currency translation adjustments (38,011)         (38,011)    
Net income 197,646       197,646      
Ending Balance at Jul. 01, 2023 3,352,205 $ 1,503 $ (7,112) 2,274,572 1,110,818 (63,360) (46) 35,830
Common Stock , Issued, Ending at Jul. 01, 2023   150,308            
Balance (in shares) Ending at Jul. 01, 2023   150,106 (202)          
Beginning Balance at Dec. 31, 2023 3,408,594 $ 1,506 $ (7,112) 2,305,367 1,151,765 (61,880) 314 18,634
Common Stock , Issued, Beginning at Dec. 31, 2023   150,566            
Balance (in shares) Beginning at Dec. 31, 2023   150,364 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (in shares)   405            
Shares issued under stock plans (5,455) $ 4   (5,459)        
Share-based compensation expense 7,908     7,908        
Dividends, Common Stock, Cash (15,040)       (15,040)      
Interest rate swap - cash flow hedge (1,073)             (1,073)
Pension liability adjustments (379)           (379)  
Foreign currency translation adjustments (9,651)         (9,651) 0  
Net income 45,266       45,266   0  
Ending Balance at Mar. 30, 2024 3,430,170 $ 1,510 $ (7,112) 2,307,816 1,181,991 (71,531) (65) 17,561
Common Stock , Issued, Ending at Mar. 30, 2024   150,971            
Balance (in shares) Ending at Mar. 30, 2024   150,769 (202)          
Beginning Balance at Dec. 31, 2023 3,408,594 $ 1,506 $ (7,112) 2,305,367 1,151,765 (61,880) 314 18,634
Common Stock , Issued, Beginning at Dec. 31, 2023   150,566            
Balance (in shares) Beginning at Dec. 31, 2023   150,364 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Interest rate swap - cash flow hedge (3,714)              
Pension liability adjustments (379)              
Foreign currency translation adjustments (14,791)              
Net income 112,962              
Ending Balance at Jun. 29, 2024 3,502,390 $ 1,510 $ (7,112) 2,335,321 1,234,487 (76,671) (65) 14,920
Common Stock , Issued, Ending at Jun. 29, 2024   151,029            
Balance (in shares) Ending at Jun. 29, 2024   150,827 (202)          
Beginning Balance at Mar. 30, 2024 3,430,170 $ 1,510 $ (7,112) 2,307,816 1,181,991 (71,531) (65) 17,561
Common Stock , Issued, Beginning at Mar. 30, 2024   150,971            
Balance (in shares) Beginning at Mar. 30, 2024   150,769 (202)          
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (in shares)   58            
Shares issued under stock plans 616     616        
Share-based compensation expense 26,889     26,889        
Dividends, Common Stock, Cash (15,200)       (15,200)      
Interest rate swap - cash flow hedge (2,641)             (2,641)
Pension liability adjustments 0              
Foreign currency translation adjustments (5,140)         (5,140) 0  
Net income 67,696       67,696      
Ending Balance at Jun. 29, 2024 $ 3,502,390 $ 1,510 $ (7,112) $ 2,335,321 $ 1,234,487 $ (76,671) $ (65) $ 14,920
Common Stock , Issued, Ending at Jun. 29, 2024   151,029            
Balance (in shares) Ending at Jun. 29, 2024   150,827 (202)