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Schedule I - Condensed Financial Information of Registrant (Notes to Condensed Financial Statements) (Details) - USD ($)
$ in Thousands
12 Months Ended
Nov. 27, 2018
Jun. 05, 2015
Jan. 25, 2020
Jan. 26, 2019
Jan. 27, 2018
Jun. 30, 2019
Oct. 31, 2011
Basis of Presentation              
Net Cash Provided by (Used in) Operating Activities, Continuing Operations     $ 105,597 $ 86,334 $ 106,018    
Net Cash Provided by (Used in) Investing Activities, Continuing Operations     (123,464) (209,123) (170,276)    
Net Cash Provided by (Used in) Financing Activities, Continuing Operations     16,486 127,730 65,209    
Guarantees and Restrictions              
Cash and cash equivalents     12,082 10,951      
Outstanding principal amount     $ 343,340 346,202      
Minimum              
Guarantees and Restrictions              
Fixed charge coverage ratio     1.0        
Loan cap rate     15.00%        
Maximum              
Guarantees and Restrictions              
Loan cap rate     20.00%        
First Lien Agreement              
Guarantees and Restrictions              
Outstanding principal amount $ 339,500            
ABL Credit Facility              
Guarantees and Restrictions              
Available borrowing capacity     $ 150,700        
Maximum borrowing capacity     $ 425,000     $ 425,000 $ 80,000
ABL Credit Facility | LIBOR              
Guarantees and Restrictions              
Basis spread (as a percent)     1.00%        
Term Loan              
Guarantees and Restrictions              
Additional borrowings $ 50,000            
Outstanding principal amount     $ 335,982 339,500      
Term Loan | First Lien Agreement              
Guarantees and Restrictions              
Debt instrument, face value   $ 350,000          
Installment payable   $ 900          
Percentage of annual aggregate amount of principal amount   1.00%          
Interest rate reduction, related to net leverage ratio   0.50%          
Term Loan | First Lien Agreement | LIBOR              
Guarantees and Restrictions              
Floor rate   1.00%          
Basis spread (as a percent)   4.00%          
Parent company              
Basis of Presentation              
Net Cash Provided by (Used in) Operating Activities, Continuing Operations     0 0 0    
Net Cash Provided by (Used in) Investing Activities, Continuing Operations     0 0 0    
Net Cash Provided by (Used in) Financing Activities, Continuing Operations     0 $ 0 $ 0    
Guarantees and Restrictions              
Cash and cash equivalents     12,100        
Parent company | ABL Credit Facility              
Guarantees and Restrictions              
Available borrowing capacity     150,700        
Maximum borrowing capacity     $ 425,000        
Fixed charge coverage ratio     1.0        
Parent company | ABL Credit Facility | Minimum              
Guarantees and Restrictions              
Loan cap rate     15.00%        
Parent company | ABL Credit Facility | Maximum              
Guarantees and Restrictions              
Loan cap rate     20.00%        
Parent company | Term Loan              
Guarantees and Restrictions              
Threshold percentage on net income to pay dividend   50.00%          
Minimum cash interest coverage ratio to pay dividend   2.0          
Total leverage ratio to pay dividend   3.0          
Parent company | Term Loan | First Lien Agreement              
Guarantees and Restrictions              
Debt instrument, face value   $ 350,000          
Installment payable   $ 900          
Percentage of annual aggregate amount of principal amount   1.00%          
Interest rate reduction, related to net leverage ratio   0.50%          
Threshold amount to pay dividend   $ 10,000          
Threshold additional amount to pay dividend   $ 30,000          
Parent company | Term Loan | First Lien Agreement | LIBOR              
Guarantees and Restrictions              
Floor rate   1.00%          
Basis spread (as a percent)   4.00%