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Debt and Other Commitments - Additional Information (Detail) - USD ($)
3 Months Ended 12 Months Ended
Jul. 30, 2021
Apr. 08, 2021
Mar. 09, 2021
Sep. 28, 2016
Jan. 01, 2016
Apr. 03, 2012
Oct. 09, 2021
Oct. 09, 2021
Jan. 01, 2022
Jan. 02, 2021
Dec. 28, 2019
Dec. 31, 2015
Sep. 23, 2021
Jul. 17, 2013
Debt Instrument [Line Items]                            
Bank overdraft                 $ 17,161,000 $ 16,900,000        
Debt instrument face amount                 900,000,000 800,000,000        
Payments for debt issuance costs                 6,022,000 206,000 $ 110,000      
Loss on extinguishment of debt                 16,149,000          
Cash payment of debt                 579,428,000 392,400,000 $ 723,500,000      
Deferred Salaries                            
Debt Instrument [Line Items]                            
Percentage of amount deferred, maximum         75.00%             75.00%    
Deferred Bonus                            
Debt Instrument [Line Items]                            
Percentage of amount deferred, maximum                       100.00%    
2031 Notes                            
Debt Instrument [Line Items]                            
Debt instrument face amount     $ 500,000,000.0           $ 500,000,000          
Notes due year                 Mar. 15, 2031          
Debt instrument interest rate     2.40%                      
Price to redeem notes as a percentage of principal     100.00%                      
Variable interest rate     0.20%                      
Change of control triggering event price to redeem notes as a percentage of principal                 101.00%          
Balance of unamortized financing costs                 $ 7,259,000          
Debt discount                 2,430,000          
2026 Notes                            
Debt Instrument [Line Items]                            
Debt instrument face amount       $ 400,000,000.0         $ 400,000,000 400,000,000        
Notes due year                 Oct. 01, 2026          
Debt instrument interest rate       3.50%                    
Price to redeem notes as a percentage of principal       100.00%                    
Variable interest rate       0.30%                    
Change of control triggering event price to redeem notes as a percentage of principal                 101.00%          
Balance of unamortized financing costs                 $ 5,742,000          
Debt discount                 2,108,000          
2022 Notes                            
Debt Instrument [Line Items]                            
Debt instrument face amount           $ 400,000,000.0     $ 400,000,000.0 400,000,000        
Notes due year                 Apr. 01, 2022          
Debt instrument interest rate           4.375%                
Price to redeem notes as a percentage of principal           100.00%                
Variable interest rate           0.35%                
Change of control triggering event price to redeem notes as a percentage of principal                 101.00%          
Loss on extinguishment of debt   $ 16,100,000                        
Cash payment of debt   15,400,000                        
Write-off of unamortized debt discount and debt issuance costs   $ 700,000                        
Debt discount                 $ 1,000,000.0          
Payments of financing costs                 3,900,000          
Standby Letters Of Credit                            
Debt Instrument [Line Items]                            
Line of credit facility outstanding daily balance during period                 8,400,000 8,400,000        
Accounts Receivable Securitization Facility                            
Debt Instrument [Line Items]                            
Line of credit facility outstanding daily balance during period                   114,000,000        
Line of credit facility, maximum borrowing capacity                 $ 194,500,000       $ 200,000,000.0 $ 150,000,000.0
Line of credit extended term                 1 year          
Line of credit facility, expiration date                 Sep. 27, 2023          
Debt instrument covenant compliance                 As of January 1, 2022 and January 2, 2021, respectively, the company was in compliance with all restrictive covenants under the AR facility.            
Basis spread on variable rate                 0.85%          
Unused borrowing fee                 0.35%          
Balance of unamortized financing costs                 $ 300,000 300,000        
Payments for debt issuance costs               $ 200,000            
Accounts Receivable Securitization Facility | Maximum                            
Debt Instrument [Line Items]                            
Line of credit facility outstanding daily balance during period                 114,000,000          
Unsecured Credit Facility                            
Debt Instrument [Line Items]                            
Line of credit facility outstanding daily balance during period                   $ 50,000,000        
Line of credit facility, maximum borrowing capacity                 500,000,000          
Line of credit facility, expiration date Jul. 30, 2026                          
Payments for debt issuance costs             $ 1,100,000              
Line of credit facility, expiration period 5 years                          
Line of credit facility, amount available $ 500,000,000.0                          
Line of credit facility, additional borrowing capacity $ 200,000,000.0                          
Covenant, maximum leverage ratio 4.00                          
Minimum leverage ratio on covenant holiday 3.75                          
Unsecured Credit Facility | Unsecured Credit Facility Total Potential Commitment                            
Debt Instrument [Line Items]                            
Line of credit facility, maximum borrowing capacity $ 700,000,000.0                          
Unsecured Credit Facility | Maximum                            
Debt Instrument [Line Items]                            
Line of credit facility outstanding daily balance during period                 $ 50,000,000          
Unsecured Credit Facility | Base Rate Loans | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 0.00%                          
Unsecured Credit Facility | Base Rate Loans | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 0.525%                          
Unsecured Credit Facility | Eurodollar Loans | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 0.815%                          
Unsecured Credit Facility | Eurodollar Loans | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 1.525%                          
Unsecured Credit Facility | Federal Funds Rate | Minimum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 0.06%                          
Unsecured Credit Facility | Federal Funds Rate | Maximum                            
Debt Instrument [Line Items]                            
Basis spread on variable rate 0.225%