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RESTRICTED CASH AND INVESTMENTS (Tables)
3 Months Ended
Mar. 31, 2019
Restricted Cash and Investments [Abstract]  
Schedule of restricted cash and investments
The following is a summary of the carrying value of our restricted cash and investments:
(in thousands)
March 31,
2019
December 30,
2018
Cash collateral held by insurance carriers
$
24,366

$
24,182

Cash and cash equivalents held in Trust
30,354

28,021

Investments held in Trust
147,649

156,618

Deferred compensation mutual funds
26,969

23,363

Other restricted cash and cash equivalents
405

3,259

Total restricted cash and investments
$
229,743

$
235,443

Schedule of held-to-maturity investments
The amortized cost and estimated fair value of our held-to-maturity investments held in Trust, aggregated by investment category as of March 31, 2019 and December 30, 2018, were as follows:
 
March 31, 2019
(in thousands)
Amortized cost
Gross unrealized gains
Gross unrealized losses
Fair value
Municipal debt securities
$
74,657

$
1,261

$
(124
)
$
75,794

Corporate debt securities
69,756

305

(284
)
69,777

Agency mortgage-backed securities
2,237

14

(16
)
2,235

U.S. government and agency securities
999

13


1,012

Total held-to-maturity investments
$
147,649

$
1,593

$
(424
)
$
148,818

 
December 30, 2018
(in thousands)
Amortized cost
Gross unrealized gains
Gross unrealized losses
Fair value
Municipal debt securities
$
76,750

$
456

$
(516
)
$
76,690

Corporate debt securities
76,310

30

(908
)
75,432

Agency mortgage-backed securities
2,559

5

(33
)
2,531

U.S. government and agency securities
999


(11
)
988

Total held-to-maturity investments
$
156,618

$
491

$
(1,468
)
$
155,641

Schedule of continuous unrealized loss position
The estimated fair value and gross unrealized losses of all investments classified as held-to-maturity, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position as of March 31, 2019 and December 30, 2018, were as follows:
 
March 31, 2019
 
Less than 12 months
 
12 months or more
 
Total
(in thousands)
Estimated fair value
Unrealized losses
 
Estimated fair value
Unrealized losses
 
Estimated fair value
Unrealized losses
Municipal debt securities
$

$

 
$
14,255

$
(124
)
 
$
14,255

$
(124
)
Corporate debt securities
2,015

(2
)
 
40,689

(282
)
 
42,704

(284
)
Agency mortgage-backed securities


 
1,237

(16
)
 
1,237

(16
)
Total held-to-maturity investments
$
2,015

$
(2
)
 
$
56,181

$
(422
)
 
$
58,196

$
(424
)
 
December 30, 2018
 
Less than 12 months
 
12 months or more
 
Total
(in thousands)
Estimated fair value
Unrealized losses
 
Estimated fair value
Unrealized losses
 
Estimated fair value
Unrealized losses
Municipal debt securities
$
12,803

$
(74
)
 
$
22,638

$
(442
)
 
$
35,441

$
(516
)
Corporate debt securities
22,567

(277
)
 
44,463

(631
)
 
67,030

(908
)
Agency mortgage-backed securities
385


 
1,375

(33
)
 
1,760

(33
)
U.S. government and agency securities
988

(11
)
 


 
988

(11
)
Total held-to-maturity investments
$
36,743

$
(362
)

$
68,476

$
(1,106
)

$
105,219

$
(1,468
)
Schedule of held-to-maturity investments by contractual maturity
The amortized cost and fair value by contractual maturity of our held-to-maturity investments are as follows:
 
March 31, 2019
(in thousands)
Amortized cost
Fair value
Due in one year or less
$
18,964

$
18,912

Due after one year through five years
86,051

86,524

Due after five years through ten years
42,634

43,382

Total held-to-maturity investments
$
147,649

$
148,818