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Debt (Tables)
3 Months Ended
Mar. 30, 2019
Debt Disclosure [Abstract]  
Schedule of Debt
Debt consists of the following (in thousands): 
 
March 30,
2019
 
December 29,
2018
Amended Credit Agreement:
 
 
 
Revolving Credit Facility ($37.1 million and $32.1 million denominated in euro at March 30, 2019 and December 29, 2018, respectively)
$
50,061

 
$
32,105

Term Loan A ($22.8 million and $29.8 million denominated in CAD at March 30, 2019 and December 29, 2018, respectively)
61,030

 
68,080

Less unamortized deferred loan costs
(316
)
 
(381
)
Carrying value Term Loan A
60,714

 
67,699

 
 
 
 
Term Loan B
495,000

 
495,000

Less unamortized deferred loan costs
(8,741
)
 
(9,024
)
Carrying value Term Loan B
486,259

 
485,976

 
 
 
 
5.375% Senior Notes due 2022 with effective interest of 5.72%
500,000

 
500,000

Less unamortized deferred loan costs
(4,503
)
 
(4,876
)
Carrying value 5.375% Senior Notes due 2022
495,497

 
495,124

 
 
 
 
3.625% Senior Notes due 2026 - Denominated in euro with effective interest of 3.83%
578,371

 
590,499

Less unamortized deferred loan costs - Denominated in euro
(7,753
)
 
(8,160
)
Carrying value 3.625% Senior Notes due 2026
570,618

 
582,339

 
 
 
 
Other Notes and Obligations
24,307

 
11,189

 
1,687,456

 
1,674,432

Less Current Maturities
23,693

 
7,492

 
$
1,663,763

 
$
1,666,940