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Shareholders' Equity - Activity in Shareholders' Equity (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 9 Months Ended
Oct. 01, 2023
Jul. 02, 2023
Apr. 02, 2023
Oct. 02, 2022
Jul. 03, 2022
Apr. 03, 2022
Oct. 01, 2023
Oct. 02, 2022
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period     $ 361,537       $ 361,537  
Net income (loss) $ 9,879     $ 14,065     $ 24,962 $ 44,176
Share repurchases (in shares)             0 (1,126,176)
Pension liability adjustment 202     3,393     $ (877) $ 8,774
Foreign currency translation adjustment (9,176)     (36,800)     (2,885) (86,654)
Reclassification out of accumulated other comprehensive loss – discontinued cash flow hedge 150     $ 492     749 $ 1,673
Balance at end of period $ 387,564           $ 387,564  
Cash dividends declared, per common share (in dollars per share) $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01    
COMMON STOCK                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period (in shares) 58,112,000 58,053,000 58,106,000 59,097,000 59,328,000 59,055,000 58,106,000 59,055,000
Balance at beginning of period $ 5,811 $ 5,805 $ 5,811 $ 5,910 $ 5,933 $ 5,905 $ 5,811 $ 5,905
Issuances of stock related to restricted share units and performance shares (in shares)   5,000 79,000          
Issuances of stock related to restricted share units and performance shares   $ 1 $ 8          
Restricted stock issuances (in shares)   102,000     198,000 303,000    
Restricted stock issuances   $ 10     $ 20 $ 30    
Compensation expense related to share-based plans, net of forfeitures and shares received for tax withholdings (in shares) (5,000) (48,000) (132,000) (16,000) (14,000) (30,000)    
Compensation expense related to share-based plans, net of forfeitures and shares received for tax withholdings $ 0 $ (5) $ (14) $ (2) $ (1) $ (2)    
Share repurchases (in shares)       (711,000) (415,000)      
Share repurchases       $ (71) $ (42)      
Balance at end of period (in shares) 58,107,000 58,112,000 58,053,000 58,370,000 59,097,000 59,328,000 58,107,000 58,370,000
Balance at end of period $ 5,811 $ 5,811 $ 5,805 $ 5,837 $ 5,910 $ 5,933 $ 5,811 $ 5,837
ADDITIONAL PAID-IN CAPITAL                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period 247,797 246,001 244,159 251,452 254,867 253,110 244,159 253,110
Issuances of stock related to restricted share units and performance shares   (1) (8)          
Restricted stock issuances   697     2,533 3,966    
Unrecognized compensation expense related to restricted stock awards   (708)     (2,553) (3,996)    
Compensation expense related to share-based plans, net of forfeitures and shares received for tax withholdings 2,182 1,808 1,850 2,353 2,145 1,787    
Share repurchases       (8,798) (5,540)      
Balance at end of period 249,979 247,797 246,001 245,007 251,452 254,867 249,979 245,007
RETAINED EARNINGS                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period 292,561 277,345 278,639 290,358 274,135 261,434 278,639 261,434
Net income (loss) 9,879 15,797 (714) 14,065 16,818 13,293    
Cash dividends declared (581) (581) (580) (586) (595) (592)    
Balance at end of period 301,859 292,561 277,345 303,837 290,358 274,135 301,859 303,837
PENSION LIABILITY                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period (28,627) (27,827) (27,548) (48,507) (52,349) (53,888) (27,548) (53,888)
Pension liability adjustment 202 (800) (279) 3,393 3,842 1,539    
Balance at end of period (28,425) (28,627) (27,827) (45,114) (48,507) (52,349) (28,425) (45,114)
FOREIGN CURRENCY TRANSLATION ADJUSTMENT                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period (132,484) (133,845) (138,775) (150,295) (113,625) (100,441) (138,775) (100,441)
Foreign currency translation adjustment (9,176) 1,361 4,930 (36,800) (36,670) (13,184)    
Balance at end of period (141,660) (132,484) (133,845) (187,095) (150,295) (113,625) (141,660) (187,095)
CASH FLOW HEDGE                
Increase (Decrease) in Shareholders' Equity [Roll Forward]                
Balance at beginning of period (150) (450) (749) (1,541) (2,081) (2,722) (749) (2,722)
Reclassification out of accumulated other comprehensive loss – discontinued cash flow hedge 150 300 299 492 540 641    
Balance at end of period $ 0 $ (150) $ (450) $ (1,049) $ (1,541) $ (2,081) $ 0 $ (1,049)