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Consolidated Statements Of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Oct. 01, 2022
Oct. 02, 2021
Oct. 03, 2020
CASH FLOWS FROM OPERATING ACTIVITIES      
Net earnings $ 155,177 $ 157,220 $ 9,205
Adjustments to reconcile net earnings to net cash provided by operating activities:      
Depreciation 75,238 76,671 74,243
Amortization 13,151 13,488 12,729
Deferred income taxes 11,739 8,162 (40,845)
Equity-based compensation expense 8,882 7,461 5,661
Loss on sale of businesses 3,346 1,536 0
Asset impairment and Inventory write-down 21,651 1,500 60,547
Pension settlement 0 0 121,324
Other (2,257) (791) 9,636
Changes in assets and liabilities providing (using) cash:      
Receivables (86,867) (73,459) 111,525
Inventories (28,677) 19,576 (99,015)
Accounts payable 43,349 20,520 (84,065)
Contract advances 42,097 59,298 65,680
Accrued expenses (4,445) 2,290 (3,516)
Accrued income taxes 3,070 4,653 (17,964)
Net pension and post retirement liabilities 18,093 12,503 33,305
Other assets and liabilities (26,745) (17,402) 20,727
Net cash provided by operating activities 246,802 293,226 279,177
CASH FLOWS FROM INVESTING ACTIVITIES      
Acquisitions of businesses, net of cash acquired (11,832) (77,600) (54,265)
Purchase of property, plant and equipment (139,431) (128,734) (88,284)
Net proceeds from businesses and buildings sold 70,612 14,675 971
Other investing transactions (2,668) 502 (4,615)
Net cash used by investing activities (83,319) (191,157) (146,193)
CASH FLOWS FROM FINANCING ACTIVITIES      
Proceeds from revolving lines of credit 840,475 799,950 1,151,550
Payments on revolving lines of credit (827,801) (838,936) (1,187,159)
Proceeds from long-term debt 0 78,700 15,128
Payments on long-term debt (80,364) (68,080) (74,470)
Proceeds from senior notes, net of issuance costs 0 0 491,769
Payments on senior notes 0 0 (300,000)
Payments on finance lease obligations (2,524) (2,156) (1,167)
Payment of dividends (32,970) (32,106) (25,210)
Proceeds from sale of treasury stock 18,414 10,866 7,014
Purchase of outstanding shares for treasury (48,558) (31,673) (232,290)
Proceeds from sale of stock held by SECT 13,250 679 24,721
Purchase of stock held by SECT (14,830) (4,239) (6,774)
Other financing transactions 0 0 (5,878)
Net cash used by financing activities (134,908) (86,995) (142,766)
Effect of exchange rate changes on cash (10,256) 768 2,306
Increase (decrease) in cash, cash equivalents and restricted cash 18,319 15,842 (7,476)
Cash, cash equivalents and restricted cash at beginning of year 100,914 85,072 92,548
Cash, cash equivalents and restricted cash at end of year 119,233 100,914 85,072
SUPPLEMENTAL CASH FLOW INFORMATION      
Interest paid 34,765 35,220 38,420
Income taxes paid, net of refunds 24,047 44,043 59,053
Treasury shares issued as compensation 4,482 10,751 9,063
Equipment and property acquired through lease financing $ 36,897 $ 14,894 $ 24,904