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Note D - Business Segments (Tables)
6 Months Ended
Jun. 29, 2025
Notes Tables  
Schedule of Segment Reporting Information, by Segment [Table Text Block]
  

(in thousands)

 
  

Housewares / Small Appliances

  

Defense

  

Safety

  

Total

 

Three months ended June 29, 2025

                

External net sales

 $20,346  $99,813  $290  $120,449 

Cost of sales

  19,866   80,613   1,424   101,903 

Gross profit (loss)

  480   19,200   (1,134)  18,546 

Selling and general expenses (1)

  3,706   3,684   1,120   8,510 

Depreciation and amortization

  235   961   43   1,239 

Operating profit (loss)

  (6,162)  14,555   (2,297)  6,096 

Total assets

  102,964   361,978   6,916   471,858 

Depreciation and amortization

  235   961   43   1,239 

Capital expenditures

  1,507   923   138   2,568 
                 

Three months ended June 30, 2024

                

External net sales

 $18,667  $66,126  $267  $85,060 

Cost of sales

  15,206   53,347   1,808   70,361 

Gross profit (loss)

  3,461   12,779   (1,541)  14,699 

Selling and general expenses (1)

  3,052   2,824   1,254   7,130 

Depreciation and amortization

  252   917   39   1,208 

Operating profit (loss)

  157   9,038   (2,834)  6,361 

Total assets

  127,110   284,670   6,318   418,098 

Depreciation and amortization

  252   917   39   1,208 

Capital expenditures

  46   642   73   761 
  

(in thousands)

 
  

Housewares / Small Appliances

  

Defense

  

Safety

  

Total

 

Six Months Ended June 29, 2025

                

External net sales

 $42,272  $180,751  $1,065  $224,088 

Cost of sales

  40,332   143,921   3,178   187,431 

Gross profit (loss)

  1,940   36,830   (2,113)  36,657 

Selling and general expenses (1)

  6,872   7,174   2,284   16,330 

Depreciation and amortization

  465   1,912   83   2,460 

Operating profit (loss)

  (8,098)  27,744   (4,480)  15,166 

Total assets

  102,964   361,978   6,916   471,858 

Capital expenditures

  23,782   1,631   36   25,449 
                 

Six Months Ended June 30, 2024

                

External net sales

 $39,934  $121,166  $613  $161,713 

Cost of sales

  33,365   96,463   3,333   133,161 

Gross profit (loss)

  6,569   24,703   (2,720)  28,552 

Selling and general expenses (1)

  5,470   5,238   2,522   13,230 

Depreciation and amortization

  493   2,112   79   2,684 

Operating profit (loss)

  606   17,353   (5,321)  12,638 

Total assets

  127,110   284,670   6,318   418,098 

Capital expenditures

  79   946   23   1,048 
                 

(1) Excludes depreciation and amortization