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Segment Information (Tables)
9 Months Ended
Jun. 26, 2020
Segment Reporting [Abstract]  
Schedule of Segment Information
Three months ended
 June 26, 2020June 28, 2019
(in thousands)External Net SalesIntersegment Sales
Adjusted EBITDA 
External Net SalesIntersegment Sales
Adjusted EBITDA 
Electrical Raceway$285,412  $634  $57,455  $372,895  $334  $76,721  
MP&S99,487  —  12,243  120,596  —  20,595  
Eliminations—  (634) —  (334) 
Consolidated operations$384,899  $—  $493,491  $—  
 
Nine months ended
 June 26, 2020June 28, 2019
(in thousands)External Net SalesIntersegment Sales
Adjusted EBITDA 
External Net SalesIntersegment Sales
Adjusted EBITDA 
Electrical Raceway$965,205  $1,922  $206,630  $1,069,229  $920  $212,585  
MP&S322,796  —  45,041  345,599  —  48,903  
Eliminations—  (1,922) —  (920) 
Consolidated operations$1,288,001  $—  $1,414,828  $—  

Presented below is a reconciliation of operating segment Adjusted EBITDA to Income before income taxes:
Three months endedNine months ended
(in thousands)June 26, 2020June 28, 2019June 26, 2020June 28, 2019
Operating segment Adjusted EBITDA
Electrical Raceway$57,455  $76,721  $206,630  $212,585  
MP&S12,243  20,595  45,041  48,903  
Total69,698  97,316  251,671  261,488  
Unallocated expenses (a)
(5,975) (8,835) (23,232) (25,890) 
Depreciation and amortization(18,316) (17,760) (55,524) (54,061) 
Interest expense, net(9,421) (12,789) (30,605) (38,277) 
Restructuring charges(474) (709) (3,339) (3,181) 
Stock-based compensation(1,656) (4,120) (9,302) (8,936) 
Transaction costs(122) (76) (179) (363) 
Other (b)
(984) (5,371) (2,317) (8,213) 
Income before income taxes$32,750  $47,656  $127,173  $122,567  
(a) Represents unallocated selling, general and administrative activities and associated expenses including, in part, executive, legal, finance, human resources, information technology, business development and communications, as well as certain costs and earnings of employee-related benefits plans, such as stock-based compensation and a portion of self-insured medical costs.
(b) Represents other items, such as inventory reserves and adjustments, loss on disposal of property, plant and equipment, insurance recovery related to damages of property, plant and equipment , release of indemnified uncertain tax positions and realized or unrealized gain (loss) on foreign currency transactions..
Schedule of Revenue from External Customers and Long-Lived Assets, by Geographical Areas The Company's net sales by geography were as follows for the nine months ended June 26, 2020 and June 28, 2019:
Three months endedNine months ended
(in thousands)June 26, 2020June 28, 2019June 26, 2020June 28, 2019
United States$348,960  $436,767  $1,146,156  $1,240,402  
Other Americas4,474  7,821  18,713  26,030  
Europe27,112  36,277  96,439  108,947  
Asia-Pacific4,353  12,626  26,693  39,449  
Total$384,899  $493,491  $1,288,001  $1,414,828  
        The table below shows the amount of net sales from external customers for each of the Company's product categories which accounted for 10% or more of consolidated net sales in either period for the nine months ended June 26, 2020 and June 28, 2019:
Three months endedNine months ended
(in thousands)June 26, 2020June 28, 2019June 26, 2020June 28, 2019
Metal Electrical Conduit and Fittings$105,079  $139,342  $354,530  404,720  
Armored Cable and Fittings60,141  90,891  226,578  263,864  
PVC Electrical Conduit and Fittings71,914  78,765  216,143  213,181  
Cable Tray and Cable Ladders40,759  50,680  142,108  147,592  
Other raceway products7,519  13,217  25,846  39,872  
Electrical Raceway285,412  372,895  965,205  1,069,229  
Mechanical Pipe59,985  63,502  184,010  186,209  
Metal Framing and Fittings25,087  29,328  83,620  88,389  
Other MP&S products14,415  27,766  55,166  71,001  
MP&S99,487  120,596  322,796  345,599  
Net sales$384,899  $493,491  $1,288,001  $1,414,828