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Note 8 - Benefit Plans (Tables)
12 Months Ended
Dec. 30, 2017
Notes Tables  
Schedule of Defined Benefit Plans Disclosures [Table Text Block]
(in
thousands
)
 
2017
   
2016
 
Change in benefit obligation:
               
Benefit obligation at beginning of year
  $
55,606
    $
50,282
 
Service cost
   
2,037
     
1,509
 
Interest cost
   
1,887
     
1,662
 
Net actuarial loss (gain)
   
(433
)    
10,190
 
Benefits paid from the trust
   
(1,405
)    
(2,329
)
Benefits paid directly by
the Company
   
(1,098
)    
250
 
Curtailments and settlements
   
(31
)    
(427
)
Acquisitions
   
     
2,023
 
Effect of exchange rate movements
   
5,477
     
(7,554
)
Other
   
5,228
     
 
Benefit obligation at end of year
  $
67,268
    $
55,606
 
                 
Change in plan assets at fair value:
               
Fair value of plan assets at beginning of year
  $
42,208
    $
44,629
 
Actual return on plan assets
   
2,962
     
6,929
 
Employer contributions
   
264
     
(126
)
Benefits paid
   
(1,405
)    
(2,329
)
Acquisitions
   
     
24
 
Effect of exchange rate movements
   
4,094
     
(6,919
)
Fair value of plan assets at end of year
   
48,123
     
42,208
 
Net amount recognized/(unfunded status)
  $
(19,145
)   $
(13,398
)
(in
thousands
)
 
2017
   
2016
 
Amounts recognized in the Consolidated Balance Sheet
s consist of:
               
Noncurrent assets
  $
78
    $
 
Current benefit liability
   
(481
)    
 
Noncurrent benefit liability
   
(18,742
)    
(13,398
)
Net
liability recognized
  $
(19,145
)   $
(13,398
)
Schedule of Defined Benefit Plan Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block]
(in
thousands
)
 
2017
   
2016
 
Net actuarial loss
  $
12,261
    $
13,107
 
Prior service (cost)
   
     
 
Net amount recognized
, pre-tax
  $
12,261
    $
13,107
 
Schedule of Net Benefit Costs [Table Text Block]
   
 
 
 
 
 
 
 
 
2015
 
(in
thousands
)
 
2017
   
2016
   
U.S.
   
Foreign
   
Total
 
Components of net periodic benefit cost:
                                       
Service cost
  $
2,037
    $
1,509
    $
750
    $
824
    $
1,574
 
Interest cost
   
1,887
     
1,662
     
3,093
     
1,735
     
4,828
 
Expected return on plan assets
   
(1,990
)    
(1,935
)    
(2,749
)    
(2,346
)    
(5,095
)
Amortization of losses
   
337
     
306
     
870
     
221
     
1,091
 
Net periodic benefit cost
   
2,271
     
1,542
     
1,964
     
434
     
2,398
 
Curtailment/Settlement loss (gain)
   
(25
)    
(36
)    
29,928
     
     
29,928
 
Total expense (income) for the year
  $
2,246
    $
1,506
    $
31,892
    $
434
    $
32,326
 
Schedule of Assumptions Used [Table Text Block]
   
 
 
 
 
 
 
 
 
2015
 
   
2017
   
2016
   
U.S.
   
Foreign
 
Discount rate
   
3.0
%    
3.7
%    
3.9
%    
3.7
%
Expected return on plan assets
   
4.5
%    
4.9
%    
6.8
%    
5.1
%
Compensation increase rate
   
4.5
%    
5.3
%    
     
5.3
%
Measurement dates
 
12/31/16
   
1/2/16
   
12/27/14
   
12/27/14
 
   
2017
   
201
6
   
201
5
 
Discount rate
   
3.1
%    
2.6
%    
3.8
%
Compensation increase rate
   
5.0
%    
4.5
%    
6.2
%
Measurement dates
 
12/
30/17
   
12/31/16
   
1/
2/16
 
Schedule of Net Funded Status [Table Text Block]
(in
thousands
)
 
2017
   
2016
 
Projected benefit obligation
  $
28,515
    $
48,985
 
Fair value of plan assets
   
9,292
     
42,179
 
(in
thousands
)
 
2017
   
2016
 
Accumulated benefit obligation
  $
18,990
    $
51,306
 
Fair value of plan assets
   
6,003
     
38,912
 
Schedule of Expected Benefit Payments [Table Text Block]
(in
thousands
)
 
Expected Benefit Payments
 
201
8
  $
2,467
 
201
9
   
2,474
 
20
20
   
2,473
 
202
1
   
2,802
 
202
2
   
2,776
 
2023-2027    
16,777
 
Schedule of Allocation of Plan Assets [Table Text Block]
   
Asset Allocation
 
   
2017
   
201
6
 
Equity securities
   
35
%    
32
%
Debt securities
   
64
%    
65
%
Cash and equivalents
   
1
%    
3
%
     
100
%    
100
%
Pension Plan Assets Measured at Fair Value [Table Text Block]
   
Fair Value Measurements Usin
g
   
 
 
 
 
 
 
 
(in
thousands
)
 
Level
1
   
Level
2
   
L
evel 3
   
NAV
   
Total
 
Equities:
                                       
Global Equity 50:50 Index Fund
  $
    $
    $
    $
7,898
    $
7,898
 
Global Equity 50:50 GBP Hedged Fund
   
     
     
     
8,134
     
8,134
 
Philippine Stock
   
1,031
     
     
     
     
1,031
 
Fix
ed income:
                                       
Investment
Grade Corporate Bond Funds
   
6,003
     
     
     
     
6,003
 
Over 15y Gilts Index Fund
   
     
     
     
3,684
     
3,684
 
Active Corp Bond
– Over 10 Yr Fund
   
     
     
     
6,835
     
6,835
 
Over 5y Index-Linked Gilts Fund
   
     
     
     
12,049
     
12,049
 
Philippine Long Gov
ernment Securities
   
1,362
     
     
     
     
1,362
 
Philippine Long Corporate Bonds
   
723
     
     
     
     
723
 
Cash and equivalents
   
173
     
     
     
231
     
404
 
Total pension plan assets
  $
9,292
    $
    $
    $
38,831
    $
48,123
 
   
Fair Value Measurements Using
   
 
 
 
 
 
 
 
(in
thousands
)
 
Level
1
   
Level
2
   
L
evel 3
   
NAV
   
Total
 
Equities:
                                       
Global Equity 50:50 Index Fund
  $
    $
    $
    $
6,321
    $
6,321
 
Global Equity 50:50 GBP Hedged Fund
   
     
     
     
6,406
     
6,406
 
Philippine Stock
   
906
     
     
     
     
906
 
Fixed income:
                                       
Investment
Grade Corporate Bond Funds
   
5,372
     
     
     
     
5,372
 
Over 15y Gilts Index Fund
   
     
     
     
3,265
     
3,265
 
Active Corp Bond
– Over 10 Yr Fund
   
     
     
     
5,902
     
5,902
 
Over 5y Index-Linked Gilts Fund
   
     
     
     
10,724
     
10,724
 
Philippine Long Gov
ernment Securities
   
1,133
     
     
     
     
1,133
 
Philippine Long Corporate Bonds
   
751
     
     
     
     
751
 
Cash and equivalents
   
476
     
     
     
952
     
1,428
 
Total pension plan assets
  $
8,638
    $
    $
    $
33,570
    $
42,208