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Debt (Tables)
6 Months Ended
Jul. 03, 2020
Debt Disclosure [Abstract]  
Summary of Second Amended and Restated Credit Facility
The following table summarizes the line of credit under the First Amended and Restated Credit Facility:
July 3,
2020
Amount outstanding$15,000  
Standby letters of credit15,000  
Available borrowing capacity220,000  
Total borrowing capacity$250,000  
Maturity dateMarch 11, 2025
Schedule of Future Principal Payments
As of July 3, 2020, future principal payments for long-term debt, including the current portion, as summarized as follows:
July 3,
2020
For fiscal year
2020 (remaining six months)$5,000  
202110,000  
202217,500  
202320,000  
202420,000  
Thereafter325,000  
Total397,500  
Debt issuance cost(6,107) 
Long-term debt, net of issuance cost391,393  
Less: current portion(10,000) 
Long-term debt less current portion$381,393