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Consolidated Statements Of Stockholders' Equity - USD ($)
$ in Thousands
Common Stock [Member]
Additional Paid-in Capital [Member]
Treasury Stock [Member]
Accumulated Other Comprehensive Loss [Member]
Retained Earnings [Member]
Total
Balances at May. 25, 2019 $ 631 $ 460,226 $ (516,103) $ (12,588) $ 350,230 $ 282,396
Balances (in shares) at May. 25, 2019 63,054,000   31,466,000      
Exercise of stock options $ 3 5,122       5,125
Exercise of stock options (in shares) 376,000          
Stock-based compensation expense   5,833       5,833
Issuance of common stock purchased under Employee Stock Purchase Plan $ 4 5,127       5,131
Issuance of common stock purchased under Employee Stock Purchase Plan (in shares) 400,000          
Cancellation of restricted stock (in shares) (13,000)          
Issuance of restricted stock (in shares) 10,000          
Amortization of restricted stock issued out of treasury stock to board of director members   (10) $ 15   (5)  
Amortization of restricted stock issued out of treasury stock to board of director members (in shares)     (18,000)      
Repurchase of common stock     $ (5,000)     (5,000)
Repurchase of common stock (in shares)     318,000      
Cash dividends declared ($0.56 per share)         (17,976) (17,976)
Issuance of common stock in connection with the acquisition of Accretive $ 1 1,140       1,141
Issuance of common stock in connection with the acquisition of Accretive (in shares) 83,000          
Currency translation adjustment       (1,274)   (1,274)
Net income         28,285 28,285
Balances at May. 30, 2020 $ 639 477,438 $ (521,088) (13,862) 360,534 303,661
Balances (in shares) at May. 30, 2020 63,910,000   31,766,000      
Exercise of stock options $ 1 1,627       1,628
Exercise of stock options (in shares) 135,000          
Stock-based compensation expense   5,720       5,720
Issuance of common stock purchased under Employee Stock Purchase Plan $ 5 5,058       5,063
Issuance of common stock purchased under Employee Stock Purchase Plan (in shares) 506,000          
Issuance of restricted stock $ 1 (1)        
Issuance of restricted stock (in shares) 75,000   (25,000)      
Amortization of restricted stock issued out of treasury stock to board of director members   (160) $ 288   (102) 26
Cash dividends declared ($0.56 per share)         (18,250) (18,250)
Dividend equivalents on restricted stock   182     (182)  
Currency translation adjustment       6,469   6,469
Net income         25,229 25,229
Balances at May. 29, 2021 $ 646 489,864 $ (520,800) (7,393) 367,229 $ 329,546
Balances (in shares) at May. 29, 2021 64,626,000   31,741,000     32,885,000
Exercise of stock options $ 8 11,949       $ 11,957
Exercise of stock options (in shares) 834,000         834,000
Stock-based compensation expense   7,027       $ 7,027
Issuance of common stock purchased under Employee Stock Purchase Plan $ 5 5,174       5,179
Issuance of common stock purchased under Employee Stock Purchase Plan (in shares) 462,000          
Issuance of restricted stock $ 1 (1) $ (2)      
Issuance of restricted stock (in shares) 97,000          
Issuance of common stock upon vesting of restricted stock units, net of shares withheld to cover taxes $ 1 (1,096)       (1,095)
Issuance of common stock upon vesting of restricted stock units, net of shares withheld to cover taxes (in shares) 72,000          
Amortization of restricted stock issued out of treasury stock to board of director members   (24) 114   (50) $ 40
Retirement of treasury stock $ (317) (157,646) $ 520,686   (362,723)  
Retirement of treasury stock (in shares) (31,739,000)   (31,739,000)     (31,700,000)
Repurchase of common stock     $ (19,651)     $ (19,651)
Repurchase of common stock (in shares)     1,155,000      
Cash dividends declared ($0.56 per share)         (18,638) (18,638)
Dividend equivalents on restricted stock   255     (255)  
Currency translation adjustment       (9,091)   (9,091)
Net income         67,175 67,175
Balances at May. 28, 2022 $ 344 $ 355,502 $ (19,651) $ (16,484) $ 52,738 $ 372,449
Balances (in shares) at May. 28, 2022 34,352,000   1,155,000     33,197,000