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Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Mar. 28, 2020
Mar. 30, 2019
Mar. 31, 2018
Cash flows from operating activities      
Net income (loss) $ 58,160,000 $ (58,208,000) $ 15,800,000
Adjustments to reconcile net income (loss) to net cash provided by operating activities:      
Depreciation and amortization 18,546,000 16,079,000 8,260,000
Equity-based compensation 8,349,000 101,999,000 642,000
Deferred taxes 11,796,000 3,047,000 12,914,000
Amortization of deferred financing fees 510,000 542,000  
Loss (gain) on disposal of property, plant, and equipment 239,000 (37,000) (122,000)
Foreign currency transaction loss (gain) 235,000 123,000 (547,000)
Fair market value adjustment to held for sale property 986,000    
Property, plant, and equipment impairment charge 550,000 0 0
Write down of development inventory     1,165,000
Change in assets and liabilities, net of business acquired:      
Accounts receivable 11,901,000 (2,223,000) (13,904,000)
Inventories (4,491,000) (6,044,000) (24,807,000)
Floor plan receivables (17,000) 157,000 3,386,000
Other assets (10,599,000) (2,130,000) (7,133,000)
Accounts payable (4,606,000) (3,105,000) 7,691,000
Accrued expenses and other current liabilities (14,816,000) 15,147,000 28,122,000
Other   (119,000) 156,000
Net cash provided by operating activities 76,743,000 65,228,000 31,623,000
Cash flows from investing activities      
Additions to property, plant, and equipment (15,389,000) (12,092,000) (9,442,000)
Cash acquired in business acquisition   9,722,000  
Proceeds from disposal of property, plant, and equipment 196,000 56,000 551,000
Proceeds from sale of held for sale property 1,100,000    
Decrease (increase) in note receivable   284,000 (167,000)
Distributions from unconsolidated affiliates     437,000
Net cash used in investing activities (14,093,000) (2,030,000) (8,621,000)
Cash flows from financing activities      
Changes in floor plan financing, net 592,000 3,496,000 12,011,000
Borrowings on revolving debt facility 38,000,000 46,900,000  
Payments on revolving debt facility (15,000,000) (5,000,000)  
Payments on term-loans and other debt   (46,900,000) (418,000)
Payments for deferred financing fees   (2,169,000) (369,000)
Members' capital distribution   (65,277,000) (888,000)
Stock option exercises 112,000 1,615,000  
Tax payments for equity-based compensation (2,135,000) (5,183,000)  
Net cash provided by (used in) financing activities 21,569,000 (72,518,000) 10,336,000
Effect of exchange rate changes on cash, cash equivalents, and restricted cash (1,398,000) (662,000) 586,000
Net increase (decrease) in cash, cash equivalents, and restricted cash 82,821,000 (9,982,000) 33,924,000
Cash, cash equivalents, and restricted cash at beginning of period 126,634,000 136,616,000 102,692,000
Cash, cash equivalents, and restricted cash at end of period 209,455,000 126,634,000 136,616,000
Supplemental disclosures of cash flow information      
Cash paid for interest 4,044,000 4,975,000 5,000,000
Cash paid for income taxes $ 22,312,000 $ 13,537,000 $ 13,025,000