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SALE OF TMC ASSETS (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 29, 2019
Mar. 30, 2019
Jun. 30, 2018
Jun. 29, 2019
Jun. 30, 2018
Feb. 01, 2019
Jan. 15, 2019
Jul. 31, 2015
Disposition of assets.                
Escrow Deposit             $ 200,000 $ 2,500,000
Payment as working capital adjustment $ 1,248,000              
Revenue, expenses and pre-tax income reclassified to discontinued operations                
Revenue     $ 17,743,000 $ 4,058,000 $ 31,206,000      
Costs and expenses     15,512,000 3,900,000 28,452,000      
Depreciation, depletion and amortization     302,000 578,000 573,000      
Selling and administrative     890,000 304,000 1,811,000      
Gain on sales of equipment     889,000   889,000      
(Loss) gain on sale of assets (1,225,000)     5,283,000        
Pre-tax income (loss) (1,225,000)   1,928,000 4,559,000 1,259,000      
The results of discontinued operations                
Operating income (loss)     1,928,000          
(Loss) gain on sale of assets (1,225,000)     5,283,000        
Income tax (benefit) provision (307,000)   482,000 1,255,000 315,000      
Loss (income) from discontinued operations $ (918,000)   $ 1,446,000 3,304,000 944,000      
Transit Mix Concrete | Discontinued operation                
Disposition of assets.                
Sale price           $ 27,129,000    
Escrow Deposit           $ 2,049,000    
Revenue, expenses and pre-tax income reclassified to discontinued operations                
(Loss) gain on sale of assets   $ 6,508,000   5,283,000        
The results of discontinued operations                
Operating income (loss)       (724,000) 1,259,000      
(Loss) gain on sale of assets   $ 6,508,000   5,283,000        
Income tax (benefit) provision       1,255,000 315,000      
Loss (income) from discontinued operations       $ 3,304,000 $ 944,000