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CONDENSED CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Common Stock
Additional Paid-In Capital
Retained Earnings
Accumulated Other Comprehensive Earnings
Noncontrolling Interest
Total
Beginning balance at Dec. 28, 2019 $ 61,409 $ 192,173 $ 995,022 $ (4,889) $ 14,018 $ 1,257,733
Increase (Decrease) in Stockholders' Equity            
Net earnings     40,159   411 40,570
Foreign currency translation adjustment       (5,951) (2,335) (8,286)
Unrealized loss on debt securities       (270)   (270)
Distributions to noncontrolling interest         (299) (299)
Additional purchases of noncontrolling interest   130     (225) (95)
Cash dividends     (7,730)     (7,730)
Issuance of shares under employee stock purchase plans 10 309       319
Net issuance of shares under stock grant programs 350 12,454 1     12,805
Issuance of shares under deferred compensation plans 89 (89)        
Repurchase of shares (756)   (28,456)     (29,212)
Expense associated with share-based compensation arrangements   1,404       1,404
Accrued expense under deferred compensation plans   5,343       5,343
Ending balance at Mar. 28, 2020 61,102 211,724 998,996 (11,110) 11,570 1,272,282
Beginning balance at Dec. 26, 2020 61,206 218,224 1,182,680 (1,794) 22,836 1,483,152
Increase (Decrease) in Stockholders' Equity            
Net earnings     103,311   940 104,251
Foreign currency translation adjustment       (374) (526) (900)
Unrealized loss on debt securities       (1,296)   (1,296)
Distributions to noncontrolling interest         (2,914) (2,914)
Cash dividends     (9,274)     (9,274)
Issuance of shares under employee stock purchase plans 6 357       363
Net issuance of shares under stock grant programs 537 3,888 5     4,430
Issuance of shares under deferred compensation plans 89 (89)        
Expense associated with share-based compensation arrangements   2,936       2,936
Accrued expense under deferred compensation plans   5,795       5,795
Ending balance at Mar. 27, 2021 $ 61,838 $ 231,111 $ 1,276,722 $ (3,464) $ 20,336 $ 1,586,543