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STOCKHOLDERS' EQUITY (Tables)
3 Months Ended
Apr. 03, 2026
Equity [Abstract]  
Schedule of Changes in Number of Shares of Common Stock
The following is a summary of the number of shares of Common Stock issued and outstanding for the three month periods ended April 3, 2026 and March 28, 2025:
IssuedTreasury StockOutstanding
Beginning balance at December 31, 202535,481,805 (1,135,355)34,346,450 
Stock options exercised— 1,084 1,084 
Vested and settled RSUs and PRSUs, net of shares withheld to cover taxes— 187,611 187,611 
Repurchases of common stock— (589,605)(589,605)
Ending balance at April 3, 202635,481,805 (1,536,265)33,945,540 
Beginning balance at December 31, 202433,546,262 (6)33,546,256 
Stock options exercised3,796 — 3,796 
Vested and settled RSUs and PRSUs, net of shares withheld to cover taxes190,588 — 190,588 
Stock issued upon conversion of convertible debt1,553,806 — 1,553,806 
Exercise of capped call upon conversion of convertible debt— (436,963)(436,963)
Stock issued for acquisition32,393 — 32,393 
Ending balance at March 28, 202535,326,845 (436,969)34,889,876 
Schedule of Accumulated Other Comprehensive Income (Loss)
Defined
Benefit
Plan
Liability
Cash
Flow
Hedges
Foreign
Currency
Translation
Adjustment
Total
Pre-Tax
Amount
TaxNet-of-Tax
Amount
December 31, 2025$(113)$5,221 $54,144 $59,252 $(1,050)$58,202 
Unrealized loss on cash flow hedges— (6,595)— (6,595)1,385 (5,210)
Realized loss on foreign currency hedges— 2,935 — 2,935 (616)2,319 
Foreign currency translation loss— — (10,654)(10,654)— (10,654)
April 3, 2026$(113)$1,561 $43,490 $44,938 $(281)$44,657 
December 31, 2024$67 $(6,482)$(8,985)$(15,400)$1,357 $(14,043)
Unrealized gain on cash flow hedges— 4,400 — 4,400 (923)3,477 
Realized loss on foreign currency hedges— 1,293 — 1,293 (272)1,021 
Foreign currency translation gain— — 20,291 20,291 — 20,291 
March 28, 2025$67 $(789)$11,306 $10,584 $162 $10,746