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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 28, 2024
Dec. 30, 2023
Dec. 31, 2022
Jan. 01, 2022
Cash flows from operating activities--        
Net Income (Loss) $ 428,433 $ 400,882 $ 436,569  
Adjustments to reconcile net earnings to net cash provided by operating activities        
Depreciation and amortization 127,174 132,604 138,061  
Non-cash share-based compensation 36,151 51,047 58,368  
Deferred income taxes 35,877 (2,405) (6,642)  
Net Periodic Benefit Cost, Other Components (14,897) (9,071) (42,681)  
Gain on sale of plant (1,139) 0 0  
Impairments 38,637 78,114 0  
Other Noncash Income (Expense) 645 1,529 (12,127)  
Changes in assets and liabilities, net of acquisitions        
Accounts receivable, net 11,976 (4,624) (28,392)  
Inventories, net 95,407 157,868 (196,313)  
Prepaid expenses and other assets (45,462) (17,081) (5,201)  
Accounts payable (21,935) (49,369) (47,742)  
Accrued expenses and other liabilities (4,051) (110,704) 38,652  
Net cash provided by operating activities 686,816 628,790 332,552  
Cash flows from investing activities--        
Additions to property and equipment (49,310) (85,179) (67,289)  
Proceeds from Sale of Property Held-for-sale 2,507 0 0  
Payments to Acquire Intangible Assets (80) (1,805) (2,233)  
Payments to Acquire Businesses, Net of Cash Acquired (111,652) (68,758) (278,797)  
Net cash (used in) investing activities (158,535) (155,742) (348,319)  
Cash flows from financing activities--        
Proceeds under Credit Facility 0 640,200 1,870,000  
Repayments under Credit Facility (32,813) (948,496) (1,555,250)  
Payments for Premiums for Capped Call Confirmations, Debt Issuance 0 0 (9,655)  
Net (repayments) proceeds under foreign bank loan (2,193) (166) (24,470)  
Payments of deferred purchase price (3,878) (7,701) (7,930)  
Repurchase of treasury stock (34,660) (74,565) (264,777)  
Proceeds from (Payments for) Other Financing Activities (224) (211) (287)  
Net cash (used in) provided by financing activities (73,768) (390,939) 7,631  
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Disposal Group, Including Discontinued Operations (12,476) 3,386 (10,225)  
Changes in cash and cash equivalents--        
Net (decrease) increase in cash and cash equivalents 442,037 85,495 (18,361)  
Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents 689,533 247,496 162,001 $ 180,362
Cash Flow, Noncash Investing and Financing Activities Disclosure [Abstract]        
Stock Issued During Period, Value, Acquisitions $ 4,810 $ 19,794 $ 0