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STOCKHOLDERS' EQUITY (Tables)
12 Months Ended
Dec. 28, 2025
Equity [Abstract]  
Schedule of Changes in Accumulated Other Comprehensive Loss
The following tables provide information regarding the changes in AOCL during 2025 and 2024:
2025
Losses Related to Foreign Currency TranslationUnrealized Losses on Derivative Financial Instruments Classified as Cash Flow HedgesLosses Related to Pension and Other Postretirement BenefitsLosses on Available-for-Sale SecuritiesTotal
(In thousands)
Balance, beginning of year$(337,243)$(2,007)$(31,028)$(22)$(370,300)
Other comprehensive income (loss) before reclassifications324,025 (2,318)(185)(113)321,409 
Amounts reclassified from accumulated other comprehensive loss to net income— 2,814 (1,275)118 1,657 
Currency translation— 36 176 — 212 
Net current year other comprehensive income (loss)324,025 532 (1,284)323,278 
Balance, end of year$(13,218)$(1,475)$(32,312)$(17)$(47,022)
2024
Losses Related to Foreign Currency TranslationUnrealized Losses on Derivative Financial Instruments Classified as Cash Flow HedgesLosses Related to Pension and Other Postretirement BenefitsLosses on Available-for-Sale SecuritiesTotal
(In thousands)
Balance, beginning of year$(114,850)$(1,914)$(59,714)$(5)$(176,483)
Other comprehensive income (loss) before reclassifications(222,393)1,767 12,062 45 (208,519)
Amounts reclassified from accumulated other comprehensive loss to net income— (1,849)17,000 (62)15,089 
Currency translation— (11)(376)— (387)
Net current year other comprehensive income (loss)(222,393)(93)28,686 (17)(193,817)
Balance, end of year$(337,243)$(2,007)$(31,028)$(22)$(370,300)
Schedule of Reclassification from Accumulated Other Comprehensive Loss
Details about Accumulated Other Comprehensive Loss Components
Amount Reclassified from Accumulated Other Comprehensive Loss(a)
Affected Line Item in the Consolidated Statements of Income
20252024
(In thousands)
Realized gain (loss) on settlement of foreign currency derivatives classified as cash flow hedges$(2,836)$1,367 Net sales
Realized gain on settlement of foreign currency derivatives classified as cash flow hedge22 482 Cost of sales
Realized gain (loss) on sale of securities(156)82 Interest income
Realized gain (loss) on settlement of pension obligation from plan termination(b)
1,611 (21,714)Miscellaneous, net
Amortization of pension and other postretirement plan actuarial losses(b)
79 (816)Miscellaneous, net
Total before tax(1,280)(20,599)
Tax benefit (expense)(377)5,510 
Total reclassification for the period$(1,657)$(15,089)
(a)Positive amounts represent income to the results of operations while amounts in parentheses represent expenses to the results of operations.
(b)These accumulated other comprehensive loss components are included in the computation of net periodic pension cost. See “Note 15. Pension and Other Postretirement Benefits.”