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Note 7 - Shareholders' Equity (Tables)
6 Months Ended
Jun. 30, 2019
Notes Tables  
Schedule of Stockholders Equity [Table Text Block]
   

SHARES

   

AMOUNT

   

ADDITIONAL PAID-IN CAPITAL

   

RETAINED

EARNINGS

   

PENSION LIABILITY

   

FOREIGN CURRENCY TRANSLATION ADJUSTMENT

   

CASH FLOW

HEDGE

 
   

(In thousands)

         

Balance, at December 30, 2018

    59,508     $ 5,951     $ 270,269     $ 222,214     $ (43,610 )   $ (101,487 )   $ 1,326  

Net income

    0       0       0       7,059       0       0       0  

Stock issuances under employee plans

    509       51       379       0       0       0       0  

Other issuances of common stock

    224       22       3,900       0       0       0       0  

Unamortized stock compensation expense related to restricted stock awards

    0       0       (3,922 )     0       0       0       0  

Cash dividends paid

    0       0       0       (3,900 )     0       0       0  

Forfeitures and compensation expense related to stock awards

    (225 )     (22 )     29       0       0       0       0  

Share repurchases

    0       0       0       0       0       0       0  

Pension liability adjustment

    0       0       0       0       (91 )     0       0  

Foreign currency translation adjustment

    0       0       0       0       0       (5,203 )     0  

Cash flow hedge unrealized loss

    0       0       0       0       0       0       (3,306 )

Balance, at March 31, 2019

    60,016     $ 6,002     $ 270,655     $ 225,373     $ (43,701 )   $ (106,690 )   $ (1,980 )

Net income

    0       0       0       29,499       0       0       0  

Stock issuances under employee plans

    2       0       6       0       0       0       0  

Other issuances of common stock

    (1 )     0       0       0       0       0       0  

Unamortized stock compensation expense related to restricted stock awards

    0       0       52       0       0       0       0  

Cash dividends paid

    0       0       0       (3,863 )     0       0       0  

Forfeitures and compensation expense related to stock awards

    (28 )     (3 )     1,506       0       0       0       0  

Share repurchases

    (1,556 )     (156 )     (24,998 )     0       0       0       0  

Pension liability adjustment

    0       0       0       0       829       0       0  

Foreign currency translation adjustment

    0       0       0       0       0       4,249       0  

Cash flow hedge unrealized gain

    0       0       0       0       0       0       (4,667 )

Balance, at June 30, 2019

    58,433     $ 5,843     $ 247,221     $ 251,009     $ (42,872 )   $ (102,441 )   $ (6,647 )

 

 

   

SHARES

   

AMOUNT

   

ADDITIONAL PAID-IN CAPITAL

   

RETAINED

EARNINGS

   

PENSION LIABILITY

   

FOREIGN CURRENCY TRANSLATION ADJUSTMENT

   

CASH FLOW

HEDGE

 
   

(In thousands)

         

Balance, at December 31, 2017

    59,806     $ 5,981     $ 271,271     $ 187,433     $ (56,554 )   $ (78,943 )   $ 904  

Net income

    0       0       0       15,084       0       0       0  

Stock issuances under employee plans

    175       17       102       0       0       0       0  

Other issuances of common stock

    187       19       4,769       0       0       0       0  

Unamortized stock compensation expense related to restricted stock awards

    0       0       (4,788 )     0       0       0       0  

Cash dividends paid

    0       0       0       (3,868 )     0       0       0  

Forfeitures and compensation expense related to stock awards

    (55 )     (6 )     3,185       0       0       0       0  

Share repurchases

    (615 )     (61 )     (14,424 )     0       0       0       0  

Pension liability adjustment

    0       0       0       0       (2,216 )     0       0  

Foreign currency translation adjustment

    0       0       0       0       0       8,830       0  

Cash flow hedge unrealized loss

    0       0       0       0       0       0       1,632  

Balance, at April 1, 2018

    59,498     $ 5,950     $ 260,115     $ 198,649     $ (58,770 )   $ (70,113 )   $ 2,536  

Net income

    0       0       0       20,602       0       0       0  

Stock issuances under employee plans

    4       0       35       0       0       0       0  

Other issuances of common stock

    0       0       0       0       0       0       0  

Unamortized stock compensation expense related to restricted stock awards

    0       0       0       0       0       0       0  

Cash dividends paid

    0       0       0       (3,868 )     0       0       0  

Forfeitures and compensation expense related to stock awards

    (9 )     (1 )     2,135       0       0       0       0  

Share repurchases

    (0 )     (0 )     0       0       0       0       0  

Pension liability adjustment

    0       0       0       0       3,459       0       0  

Foreign currency translation adjustment

    0       0       0       0       0       (20,773 )     0  

Cash flow hedge unrealized gain

    0       0       0       0       0       0       647  

Balance, at July 1, 2018

    59,493     $ 5,949     $ 262,285     $ 215,383     $ (55,311 )   $ (90,886 )   $ 3,183  
Share-based Payment Arrangement, Restricted Stock Unit, Activity [Table Text Block]
   

Restricted Shares

   

Weighted Average

Grant Date

Fair Value

 

Outstanding at December 30, 2018

    549,000     $ 27.65  

Granted

    224,000       17.54  

Vested

    (211,000 )     18.30  

Forfeited or canceled

    (37,000 )     20.87  

Outstanding at June 30, 2019

    525,000     $ 27.57  
Schedule of Nonvested Performance-based Units Activity [Table Text Block]
   

Shares

   

Weighted Average

Grant Date

Fair Value

 

Outstanding at December 30, 2018

    759,500     $ 20.17  

Granted

    344,500       17.54  

Vested

    (472,000 )     18.85  

Forfeited or canceled

    (57,000 )     20.42  

Outstanding at June 30, 2019

    575,000     $ 19.65