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Consolidated Statements of Equity - USD ($)
shares in Thousands, $ in Thousands
Total
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings (Accumulated Deficit) [Member]
Accumulated Other Comprehensive Loss [Member]
Non-Controlling Interest [Member]
Beginning balance at Apr. 02, 2022 $ 825,113 $ 1,573 $ 502,846 $ 327,902 $ (7,208)  
Beginning balance, shares at Apr. 02, 2022   56,838        
Net income 401,802     401,802    
Net income attributable to Champion Homes, Inc. 401,802          
Equity-based compensation 14,160   14,160      
Net common stock issued under equity-based compensation plans (1,547) $ 12 2,473 (4,032)    
Net common stock issued under equity-based compensation plans, Shares   270        
Foreign currency translation adjustments (6,527)       (6,527)  
Ending balance at Apr. 01, 2023 1,233,001 $ 1,585 519,479 725,672 (13,735)  
Ending balance, shares at Apr. 01, 2023   57,108        
Net income 146,696     146,696    
Net income attributable to Champion Homes, Inc. 146,696          
Equity-based compensation 19,560   19,560      
Net common stock issued under equity-based compensation plans (4,551) $ 7 1,325 (5,883)    
Net common stock issued under equity-based compensation plans, Shares   252        
Common stock issued for business combination 27,852 $ 13 27,839      
Common stock issued for business combination, shares   455        
Foreign currency translation adjustments (188)       (188)  
Ending balance at Mar. 30, 2024 1,422,370 $ 1,605 568,203 866,485 (13,923)  
Ending balance, shares at Mar. 30, 2024   57,815        
Net income 201,640     198,413   $ 3,227
Net income attributable to Champion Homes, Inc. 198,413          
Equity-based compensation 18,269   18,269      
Net common stock issued under equity-based compensation plans (7,842) $ 6 469 (8,317)    
Net common stock issued under equity-based compensation plans, Shares   207        
Common stock repurchases (80,627) $ (27)   (80,600)    
Common stock repurchases, Shares   (913)        
Distributions to non-controlling interest (3,227)         $ (3,227)
Foreign currency translation adjustments (6,145)       (6,145)  
Ending balance at Mar. 29, 2025 $ 1,544,438 $ 1,584 $ 586,941 $ 975,981 $ (20,068)  
Ending balance, shares at Mar. 29, 2025   57,109