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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 28, 2024
Dec. 30, 2023
Dec. 31, 2022
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net earnings $ 418,733 $ 514,457 $ 704,964
Adjustments to reconcile net earnings to net cash from operating activities:      
Depreciation 124,641 110,563 94,063
Amortization of intangibles 23,521 21,327 19,499
Expense associated with share-based and grant compensation arrangements 38,163 34,899 28,156
Deferred income taxes (15,382) (5,573) (16,289)
Unrealized gain on investments and other (1,217) (2,435) 5,768
Equity in (earnings) loss of investee (89) 2,367 2,183
Net loss (gain) on sale, disposition and impairment of assets 678 (260) 1,285
Impairment of goodwill and other intangibles 5,479   4,261
Gain from reduction of estimated earnout liability (2,460) (3,177)  
Changes in:      
Accounts receivable 47,070 81,659 130,704
Inventories 6,356 250,561 718
Accounts payable and cash overdraft 22,394 (3,578) (137,907)
Accrued liabilities and other (25,316) (40,920) (5,838)
NET CASH FROM OPERATING ACTIVITIES 642,571 959,890 831,567
CASH FLOWS USED IN INVESTING ACTIVITIES:      
Purchases of property, plant and equipment (232,274) (180,382) (174,124)
Proceeds from sale of property, plant and equipment 11,501 3,291 3,805
Acquisitions, net of cash received and purchase of equity method investment (29,830) (52,383) (180,151)
Purchases of investments (55,397) (29,806) (19,875)
Proceeds from sale of investments 30,844 29,935 12,874
Other 4,406 (10,819) 3,535
NET CASH USED IN INVESTING ACTIVITIES (270,750) (240,164) (353,936)
CASH FLOWS USED IN FINANCING ACTIVITIES:      
Borrowings under revolving credit facilities 29,913 28,462 605,101
Repayments under revolving credit facilities (32,256) (30,125) (607,549)
Repayments of debt (40,000) (29) (38,719)
Repayment of debt on behalf of investee (6,303)    
Contingent consideration payments and other (4,868) (6,262) (2,856)
Proceeds from issuance of common stock 2,811 2,750 2,769
Dividends paid to shareholders (80,782) (68,238) (58,860)
Distributions to noncontrolling interest (11,848) (7,355) (12,024)
Purchase of remaining noncontrolling interest of subsidiary (4,902)    
Payments to taxing authorities in connection with shares directly withheld from employees (17,838)    
Repurchase of common stock (141,120) (82,149) (95,774)
Other 73 86 (2,298)
NET CASH USED IN FINANCING ACTIVITIES (307,120) (162,860) (210,210)
Effect of exchange rate changes on cash (7,363) 5,767 979
NET CHANGE IN CASH AND CASH EQUIVALENTS 57,338 562,633 268,400
CASH, CASH EQUIVALENTS, AND RESTRICTED CASH, BEGINNING OF YEAR 1,122,256 559,623 291,223
CASH, CASH EQUIVALENTS, AND RESTRICTED CASH, END OF PERIOD $ 1,179,594 $ 1,122,256 $ 559,623