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CONSOLIDATED STATEMENT OF CASH FLOWS (Unaudited) - USD ($)
$ in Thousands
6 Months Ended
Mar. 30, 2018
Mar. 31, 2017
Cash Flows Provided (Used) by Operating Activities    
Net earnings (loss) including noncontrolling interests $ (10,578) $ 50,989
Adjustments to reconcile net earnings (loss) including noncontrolling interests to net cash provided (used) by operating activities:    
Depreciation and amortization 54,303 51,169
Deferred income taxes (1,327) (8,648)
Share-based compensation 6,715 7,352
Loss on disposal of fixed assets 2,165 0
Loss on sale of business 5,310 0
Gain on sale of discontinued operations 0 (1,188)
Gain (loss) on assets held for sale (1,395) 4,409
Working capital changes:    
Accounts receivable 22,671 19,407
Inventories (24,829) (24,689)
Prepaid expenses (3,103) (3,807)
Other current assets (144) (271)
Accounts payable 9,526 1,646
Accrued liabilities (11,006) (4,432)
U.S. and foreign income taxes 65 (7,947)
Long-term U.S. income taxes payable 38,640 0
Other liabilities (2,934) 996
Other, net 5,639 6,357
Net Cash Provided (Used) by Operating Activities 89,718 91,343
Cash Flows Provided (Used) by Investing Activities    
Purchase of capital assets (27,720) (29,077)
Proceeds from sale of capital assets 434 0
Proceeds from sale of business 47,814 600
Net Cash Provided (Used) by Investing Activities 20,528 (28,477)
Cash Flows Provided (Used) by Financing Activities    
Proceeds provided by stock issuance under employee stock plans 2,270 16,795
Withholding taxes on restricted stock units vested (366) (1,072)
Shares repurchased (43,450) 0
Repayment of long-term credit facilities (50,000) (70,000)
Repayment of long-term debt (7,119) (9,433)
Proceeds from issuance of long-term credit facilities 45,000 5,000
Net Cash Provided (Used) by Financing Activities (53,665) (58,710)
Effect of Foreign Exchange Rates on Cash and Cash Equivalents 3,547 (9,201)
Net Increase (Decrease) in Cash and Cash Equivalents 60,128 (5,045)
Cash and Cash Equivalents - Beginning of Year 307,826 258,520
Cash and Cash Equivalents - End of Period 367,954 253,475
Supplemental Cash Flow Information:    
Cash paid for interest 14,126 14,384
Cash paid for taxes $ 15,268 $ 25,323