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Consolidated Condensed Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Sep. 28, 2025
Sep. 29, 2024
Sep. 28, 2025
Sep. 29, 2024
Mar. 31, 2025
Cash flows from operating activities          
Net earnings $ 68,426 $ 82,266 $ 125,884 $ 152,377  
Adjustments to reconcile net earnings to net cash provided by operating activities:          
Depreciation and amortization     54,889 48,757  
Write-off of assets relating to exit activities     (619) 244  
Derivatives not designated in hedging relationships:          
Net losses (gains)     (498) (1,783)  
Cash (settlements) proceeds     2,070 1,320  
Provision for doubtful accounts     404 1,124  
Deferred income taxes     (68) 114  
Non-cash interest expense     1,212 969  
Stock-based compensation     22,036 12,187  
(Gain) loss on disposal of property, plant, and equipment     284 64  
Changes in assets and liabilities:          
Accounts receivable     43,652 (9,323)  
Inventories     (48,664) (12,401)  
Prepaid and other current assets     69,493 (26,201)  
Other assets     560 968  
Accounts payable     (34,650) (40,104)  
Accrued expenses     (21,393) (83,963)  
Other liabilities     4,423 (303)  
Net cash provided by (used in) operating activities     219,015 44,046  
Cash flows from investing activities          
Capital expenditures     (53,922) (66,486)  
Purchase of business     (12,662) (205,276)  
Proceeds from disposal of property, plant, and equipment     4,189 89  
Investment in Equity Securities     0 (10,852)  
Net cash (used in) provided by investing activities     (62,395) (282,525)  
Cash flows from financing activities          
Net (repayments) borrowings on short-term debt     (143) (434)  
Proceeds from Second Amended Revolver borrowings     467,563 476,600  
Repayments of Second Amended Revolver borrowings     (155,000) (76,600)  
Repayments of Term Loans     (210,000) 0  
Option proceeds, net     16,948 7,445  
Payment of taxes related to net share settlement of equity awards     (8,192) (7,984)  
Purchase of treasury stock     (217,784) (75,187)  
Dividends paid to stockholders     (18,917) (18,598)  
Debt Issuance Costs Sixth Amended Credit Facility     (3,276) 0  
Other     588 12  
Net cash provided by (used in) financing activities     (128,213) 305,254  
Effect of exchange rate changes on cash and cash equivalents     17,068 7,820  
Net increase (decrease) in cash and cash equivalents     45,475 74,595  
Cash and cash equivalents at beginning of period     343,131 333,324 $ 333,324
Cash and cash equivalents at end of period $ 388,606 $ 407,919 $ 388,606 $ 407,919 $ 343,131