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RESTRUCTURING (Liability Incurred for Restructuring Plan) (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jul. 04, 2020
Jun. 29, 2019
Jul. 04, 2020
Jun. 29, 2019
Restructuring Reserve        
Charges $ 10,532 $ 7,317 $ 19,907 $ 17,504
NWF 2.0        
Restructuring Reserve        
Beginning balance 5,988 426 7,084 0
Charges 10,532 5,859 19,907 6,699
Cash Payments 8,541 1,783 18,328 2,197
Non-cash Items 725   1,409  
Ending balance 7,254 4,502 7,254 4,502
NWF 2.0 | Store closures        
Restructuring Reserve        
Beginning balance 28   22  
Charges 1,961   2,693  
Cash Payments 681   723  
Non-cash Items 725   1,409  
Ending balance 583   583  
NWF 2.0 | Professional services        
Restructuring Reserve        
Beginning balance 2,050 426 2,824 0
Charges 1,473 1,798 4,662 2,638
Cash Payments 3,200 1,494 7,163 1,908
Non-cash Items 0   0  
Ending balance 323 730 323 730
NWF 2.0 | Severance and employee-related benefits        
Restructuring Reserve        
Beginning balance 3,910 0 4,238 0
Charges 7,098 4,061 12,552 4,061
Cash Payments 4,660 289 10,442 289
Non-cash Items 0   0  
Ending balance $ 6,348 $ 3,772 $ 6,348 $ 3,772