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Derivative Instruments and Hedging Activities (Tables)
9 Months Ended
Sep. 29, 2019
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of derivative instruments in statement of financial position, fair value The following table presents the fair value and classification of the Company’s swap agreements, as of the periods indicated:
(dollars in thousands)
SEPTEMBER 29, 2019
 
DECEMBER 30, 2018
 
CONSOLIDATED BALANCE SHEET CLASSIFICATION
Interest rate swaps - asset (1)
$

 
$
765

 
Other current assets, net
 
 
 
 
 
 
Interest rate swaps - liability
$
6,860

 
$
1,393

 
Accrued and other current liabilities
Interest rate swaps - liability
21,116

 
9,723

 
Other long-term liabilities, net
Total fair value of derivative instruments - liabilities (1)
$
27,976

 
$
11,116

 
 
____________________
(1)
See Note 14 - Fair Value Measurements for fair value discussion of the interest rate swaps.
Schedule of derivatives instruments statements of financial performance, location
The following table summarizes the effects of the swap agreements on Net income for the periods indicated:
 
THIRTEEN WEEKS ENDED
 
THIRTY-NINE WEEKS ENDED
(dollars in thousands)
SEPTEMBER 29, 2019
 
SEPTEMBER 30, 2018
 
SEPTEMBER 29, 2019
 
SEPTEMBER 30, 2018
Interest rate swap (expense) benefit recognized in Interest expense, net
$
(1,095
)
 
$
68

 
$
(779
)
 
$
(442
)
Income tax benefit (expense) recognized in (Benefit) provision for income taxes
283

 
(17
)
 
201

 
114

Total effects of the interest rate swaps on Net income
$
(812
)
 
$
51

 
$
(578
)
 
$
(328
)