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CONSOLIDATED STATEMENTS OF STOCKHOLDERS’ EQUITY - USD ($)
shares in Millions, $ in Millions
Total
Common Stock
Treasury Stock
Additional Paid-In Capital
Accumulated Other Comprehensive Income (Loss)
Retained Earnings
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Beginning balance $ 1,338.9 $ 0.1 $ (1,169.2) $ 782.2 $ 11.5 $ 1,714.3
Beginning balance (in shares) at Dec. 31, 2022   52.5        
Beginning balance (in shares) at Dec. 31, 2022     19.5      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Stock options exercised (in shares) 0.2 0.2        
Stock options exercised $ 7.1     7.1    
Restricted/Performance stock units vested (in shares)   0.2        
Shares paid for tax withholding (in shares)   (0.1)        
Shares paid for tax withholding (12.9)     (12.9)    
Stock-based compensation 7.0     7.0    
Net change on pension obligations (2.9)       (2.9)  
Unrealized (loss) on cash flow hedge (8.8) [1]       (8.8)  
Net (loss) income 81.5         81.5
Foreign currency translation adjustment $ (45.1)       (45.1)  
Repurchases of common stock (in shares) 0.0          
Reclass of unrealized foreign currency translation losses upon disposition of discontinued operations $ 0.0          
Ending balance (in shares) at Dec. 30, 2023   52.8        
Ending Balance at Dec. 30, 2023 1,364.8 $ 0.1 $ (1,169.2) 783.4 (45.3) 1,795.8
Ending balance (in shares) at Dec. 30, 2023     19.5      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Beginning balance $ 1,364.8 $ 0.1 $ (1,169.2) 783.4 (45.3) 1,795.8
Stock options exercised (in shares) 0.6 0.6        
Stock options exercised $ 25.2     25.2    
Restricted/Performance stock units vested (in shares)   0.3        
Shares paid for tax withholding (in shares)   (0.1)        
Shares paid for tax withholding (11.8)     (11.8)    
Stock-based compensation 41.5     41.5    
Net change on pension obligations 0.2       0.2  
Unrealized (loss) on cash flow hedge (1.3) [1]       (1.3)  
Net (loss) income (304.9)         (304.9)
Foreign currency translation adjustment $ (61.8)       (61.8)  
Repurchases of common stock (in shares) 0.0          
Reclass of unrealized foreign currency translation losses upon disposition of discontinued operations $ 0.0          
Ending balance (in shares) at Dec. 28, 2024 53.6 53.6        
Ending Balance at Dec. 28, 2024 $ 1,051.9 $ 0.1 $ (1,169.2) 838.3 (108.2) 1,490.9
Ending balance (in shares) at Dec. 28, 2024 19.5   19.5      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Beginning balance $ 1,051.9 $ 0.1 $ (1,169.2) 838.3 (108.2) 1,490.9
Stock options exercised (in shares) 0.8 0.8        
Stock options exercised $ 71.4     71.4    
Restricted/Performance stock units vested (in shares)   0.3        
Shares paid for tax withholding (in shares)   (0.1)        
Shares paid for tax withholding (18.0)     (18.0)    
Stock-based compensation 37.4     37.4    
Net change on pension obligations (0.5)       (0.5)  
Unrealized (loss) on cash flow hedge (4.8) [1]       (4.8)  
Net (loss) income (151.5)         (151.5)
Foreign currency translation adjustment $ 56.5       56.5  
Repurchases of common stock (in shares) 2.5 (2.5) 2.5      
Repurchases of common stock $ (365.7)   $ (365.7)      
Reclass of unrealized foreign currency translation losses upon disposition of discontinued operations $ 44.5       44.5  
Ending balance (in shares) at Jan. 03, 2026 52.1 52.1        
Ending Balance at Jan. 03, 2026 $ 721.2 $ 0.1 $ (1,534.9) 929.1 (12.5) 1,339.4
Ending balance (in shares) at Jan. 03, 2026 22.0   22.0      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Beginning balance $ 721.2 $ 0.1 $ (1,534.9) $ 929.1 $ (12.5) $ 1,339.4
[1] See Note 17, “Derivative Instruments and Hedging Activities”, for further details.