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Debt - Narrative (Details)
3 Months Ended 12 Months Ended
Jun. 30, 2022
USD ($)
Dec. 08, 2016
EUR (€)
Mar. 29, 2025
USD ($)
Dec. 27, 2025
USD ($)
Dec. 28, 2024
USD ($)
Dec. 30, 2023
USD ($)
Dec. 31, 2022
USD ($)
Sep. 30, 2022
USD ($)
Jul. 18, 2022
USD ($)
May 12, 2022
USD ($)
Jan. 16, 2018
USD ($)
Nov. 15, 2017
USD ($)
series
Feb. 15, 2017
USD ($)
Dec. 08, 2016
USD ($)
series
Dec. 08, 2016
EUR (€)
series
Debt Instrument                              
Cash paid during the period for interest       $ 34,361,000 $ 36,207,000 $ 37,167,000                  
Long-term debt, gross       804,460,000                      
Repayments of term loan       15,000,000 7,500,000 $ 7,500,000                  
Letter of credit outstanding       $ 1,100,000                      
Debt issuance cost             $ 2,700,000                
Unhedged Portion | Credit Agreement                              
Debt Instrument                              
Effective interest rate (in percent)       4.82%                      
Hedged Portion | Credit Agreement                              
Debt Instrument                              
Effective interest rate (in percent)       3.88%                      
Interest rate swap agreement | Cash Flow Hedging | Derivatives designated as cash flow hedges                              
Debt Instrument                              
Notional value                   $ 200,000,000          
Term loan                              
Debt Instrument                              
Maximum borrowing capacity, credit facility $ 300,000,000                            
Loan minimum increments 25,000,000                            
Long-term debt, gross $ 300,000,000.0     $ 266,250,000 281,250,000                    
Repayments of term loan       15,000,000.0                      
Term loan | Period One                              
Debt Instrument                              
Quarterly repayment of line of credit               $ 1,900,000              
Term loan | Period Two                              
Debt Instrument                              
Quarterly repayment of line of credit               $ 3,800,000              
Revolving credit facility                              
Debt Instrument                              
Long-term debt, gross       100,000,000 100,000,000                    
Remaining borrowing capacity       598,900,000                      
Revolving credit facility | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                              
Debt Instrument                              
Basis spread on variable rate adjustment (percent) 0.10%                            
Revolving credit facility | Minimum                              
Debt Instrument                              
Commitment fee (in percent) 0.10%                            
Revolving credit facility | Minimum | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                              
Debt Instrument                              
Basis spread on variable rate (in percent) 1.00%                            
Revolving credit facility | Minimum | Base Rate                              
Debt Instrument                              
Basis spread on variable rate (in percent) 0.00%                            
Revolving credit facility | Maximum                              
Debt Instrument                              
Commitment fee (in percent) 0.175%                            
Revolving credit facility | Maximum | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                              
Debt Instrument                              
Basis spread on variable rate (in percent) 1.75%                            
Revolving credit facility | Maximum | Base Rate                              
Debt Instrument                              
Basis spread on variable rate (in percent) 0.75%                            
Senior Notes | Euro Senior Notes, Series A and B                              
Debt Instrument                              
Face amount of debt | €                             € 212,000,000
Number of series | series                           2 2
Senior Notes | Euro Senior Notes, Series A due 2023                              
Debt Instrument                              
Face amount of debt | €                             € 117,000,000
Stated interest rate (in percent)                           1.14% 1.14%
Repayments of debt | €   € 117,000,000                          
Senior Notes | Euro Senior Notes, Series B due 2028                              
Debt Instrument                              
Long-term debt, gross       111,977,000 98,928,000                    
Face amount of debt | €                             € 95,000,000
Stated interest rate (in percent)                           1.83% 1.83%
Senior Notes | U.S. Senior Notes, Series A and B                              
Debt Instrument                              
Face amount of debt                           $ 125,000,000  
Number of series | series                           2 2
Senior Notes | U.S. Senior Notes, Series A due 2022                              
Debt Instrument                              
Face amount of debt                         $ 25,000,000    
Stated interest rate (in percent)                         3.03%    
Senior Notes | U.S. Senior Notes, Series B due 2027                              
Debt Instrument                              
Long-term debt, gross       100,000,000 100,000,000                    
Face amount of debt                         $ 100,000,000    
Stated interest rate (in percent)                         3.74%    
Senior Notes | U.S. Senior Notes, Series A                              
Debt Instrument                              
Repayments of debt             $ 25,000,000                
Senior Notes | U.S. Senior Notes A and B Due 2025 and 2030                              
Debt Instrument                              
Face amount of debt                       $ 175,000,000      
Number of series | series                       2      
Senior Notes | U.S. Senior Notes, Series A due 2025                              
Debt Instrument                              
Long-term debt, gross       0 50,000,000                    
Face amount of debt                     $ 50,000,000        
Stated interest rate (in percent)                     3.48%        
Senior Notes | U.S. Senior Notes, Series B due 2030                              
Debt Instrument                              
Long-term debt, gross       $ 125,000,000 $ 125,000,000                    
Face amount of debt                     $ 125,000,000        
Stated interest rate (in percent)                     3.78%        
Repayments of debt     $ 50,000,000                        
Senior Notes | U.S. Senior Notes, 2032                              
Debt Instrument                              
Face amount of debt                 $ 100,000,000            
Stated interest rate (in percent)                 4.33%