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RESTRICTED CASH AND INVESTMENTS (Tables)
6 Months Ended
Jun. 27, 2021
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)June 27,
2021
December 27,
2020
Cash collateral held by insurance carriers$26,922 $26,025 
Cash and cash equivalents held in Trust 26,344 29,410 
Investments held in Trust135,894 152,247 
Deferred compensation investments6,303 5,915 
Company-owned life insurance policies28,016 26,267 
Other restricted cash and cash equivalents1,170 670 
Total restricted cash and investments$224,649 $240,534 
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 June 27, 2021 and December 27, 2020, were as follows:
June 27, 2021
(in thousands)Amortized costGross unrealized gainsGross unrealized lossesFair value
Municipal debt securities$61,240 $2,686 $— $63,926 
Corporate debt securities73,396 1,809 (191)75,014 
Agency mortgage-backed securities258 — 267 
U.S. government and agency securities1,000 95 — 1,095 
Total held-to-maturity investments$135,894 $4,599 $(191)$140,302 
December 27, 2020
(in thousands)Amortized costGross unrealized gainsGross unrealized lossesFair value
Municipal debt securities$67,287 $3,436 $— $70,723 
Corporate debt securities83,467 2,511 (41)85,937 
Agency mortgage-backed securities493 19 — 512 
U.S. government and agency securities1,000 124 — 1,124 
Total held-to-maturity investments$152,247 $6,090 $(41)$158,296 
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:
June 27, 2021
(in thousands)Amortized costFair value
Due in one year or less$21,607 $21,826 
Due after one year through five years105,331 108,987 
Due after five years through ten years8,956 9,489 
Total held-to-maturity investments$135,894 $140,302 
Schedule of unrealized gain (loss) on equity investments Unrealized gains and losses related to these investments still held at June 27, 2021 and June 28, 2020, included in selling, general and administrative expense on our Consolidated Statements of Operations and Comprehensive Income (Loss), were as follows:
Thirteen weeks ended
Twenty-six weeks ended
(in thousands)June 27,
2021
June 28,
2020
June 27,
2021
June 28,
2020
Unrealized gains (losses)$1,549 $3,114 $2,426 $(1,727)