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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
9 Months Ended
Sep. 28, 2025
Sep. 29, 2024
Cash flows from operating activities of continuing operations:    
Net (loss) income $ (191,310) $ 206,331
Adjustments to reconcile net income to net cash provided by operating activities:    
Loss from discontinued operations 121 493
Depreciation expense 58,744 54,826
Intangible asset amortization expense 152,224 147,983
Deferred financing costs and debt discount amortization expense 3,181 2,562
Pension settlement charge 0 132,732
Goodwill impairment charge 403,925 0
Changes in contingent consideration 16,075 7,446
Stock-based compensation 22,798 23,727
Asset impairment charge 108,117 2,110
Gain on non-designated foreign currency forward contracts (82,636) 0
Deferred income taxes, net (39,049) (60,648)
Interest benefit on swaps designated as net investment hedges (13,254) (12,031)
Other (4,820) 1,970
Changes in assets and liabilities, net of effects of acquisitions and disposals:    
Accounts receivable (93,532) (25,294)
Inventories 5,695 (9,913)
Prepaid expenses and other assets (24,930) 40,446
Accounts payable, accrued expenses and other liabilities (23,893) (1,623)
Income taxes receivable and payable, net (108,485) (75,493)
Net cash provided by operating activities from continuing operations 188,971 435,624
Cash flows from investing activities of continuing operations:    
Expenditures for property, plant and equipment (94,585) (94,412)
Proceeds from sale of business and assets 6,712 0
Payments for businesses and intangibles acquired, net of cash acquired (833,171) (120)
Proceeds on non-designated balance sheet hedges 82,203 0
Insurance settlement proceeds 9,447 0
Net proceeds on swaps designated as net investment hedges 7,612 18,262
Proceeds from sales of investments 0 7,300
Purchase of investments (5,000) (7,300)
Net cash used in investing activities from continuing operations (826,782) (76,270)
Cash flows from financing activities of continuing operations:    
Proceeds from new borrowings 1,140,000 130,000
Reduction in borrowings (121,750) (188,375)
Repurchase of common stock (300,000) (200,000)
Net proceeds from share based compensation plans and related tax impacts 7,161 3,555
Share repurchase excise tax (1,894) 0
Payments for contingent consideration (166) (182)
Dividends paid (45,242) (47,808)
Debt extinguishment, issuance and amendment fees (4,961) 0
Net cash provided by (used in) financing activities from continuing operations 673,148 (302,810)
Cash flows from discontinued operations:    
Net cash used in operating activities (501) (2,355)
Net cash used in discontinued operations (501) (2,355)
Effect of exchange rate changes on cash, cash equivalents and restricted cash equivalents 18,824 728
Net increase in cash, cash equivalents and restricted cash equivalents 53,660 54,917
Cash, cash equivalents and restricted cash equivalents at the beginning of the period 327,650 222,848
Cash, cash equivalents and restricted cash equivalents at the end of the period $ 381,310 $ 277,765