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Restructuring, Exit and Integration Activities
3 Months Ended
Apr. 04, 2026
Restructuring and Related Activities [Abstract]  
Restructuring, Exit and Integration Activities [Text Block] Restructuring, Exit, and Impairment Activities
During the three months ended April 4, 2026 and March 29, 2025, the Company recorded restructuring charges related to headcount reductions and related costs associated with streamlining the enterprise-wide cost structure and improving operating efficiencies. The Company also incurred charges related to the rationalization of its manufacturing footprint, including the decision in the third quarter of 2025 to rationalize our fiberglass boat manufacturing footprint and exit our facilities in Reynosa, Mexico and Flagler Beach, Florida and consolidate production from those facilities into existing U.S. facilities.
The following table is a summary of these expenses for the three months ended April 4, 2026:
(in millions)PropulsionEngine P&ANavico GroupBoatCorporateTotal
Restructuring, exit, and impairment activities:
Employee termination and other benefits $— $— $0.2 $1.5 $— $1.7 
Asset-related — — — 2.0 — 2.0 
Professional fees— — — 1.1 — 1.1 
Total restructuring, exit, and impairment charges$ $ $0.2 $4.6 $ $4.8 
Total cash payments for restructuring, exit and impairment charges (A)
$ $ $1.4 $3.7 $0.1 $5.2 
Accrued charges at end of the period (B)
$0.5 $0.1 $1.7 $9.4 $0.2 $11.9 

(A) Cash payments for the three months ended April 4, 2026 includes payments related to prior period charges.
(B) Restructuring, exit, and impairment charges accrued as of April 4, 2026 are expected to be paid in the next twelve months.

The following table is a summary of these expenses for the three months ended March 29, 2025:
(in millions)PropulsionEngine P&ANavico Group BoatCorporateTotal
Restructuring, exit, and impairment activities:
Employee termination and other benefits$— $— $0.8 $0.3 $— $1.1 
Total cash payments for restructuring, exit and impairment charges (A)
$1.1 $0.5 $1.6 $1.2 $0.8 $5.2 
Accrued charges at end of the period $0.3 $0.2 $0.7 $1.1 $0.1 $2.4 

(A) Cash payments for the three months ended March 29, 2025 may include payments related to prior period charges.