DERIVATIVE FINANCIAL INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
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12 Months Ended |
Jan. 01, 2022 |
Derivative Instruments and Hedging Activities Disclosure [Abstract] |
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Outstanding Derivatives on Individual Contract Basis |
The following table presents the fair value of outstanding derivatives on an individual contract basis:
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Fair Value of Derivatives with Unrealized Gains |
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Fair Value of Derivatives with Unrealized Losses |
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(In thousands) |
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December 2021 |
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December 2020 |
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December 2021 |
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December 2020 |
Derivatives designated as hedging instruments: |
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Foreign currency exchange contracts |
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$ |
7,321 |
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$ |
7,179 |
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$ |
(1,972) |
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$ |
(8,640) |
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Interest rate swap agreements |
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— |
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— |
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(6,052) |
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(16,309) |
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Derivatives not designated as hedging instruments: |
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Foreign currency exchange contracts |
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— |
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352 |
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— |
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(154) |
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Total derivatives |
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$ |
7,321
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$ |
7,531
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$ |
(8,024) |
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$ |
(25,103) |
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Fair Value of Derivative Assets and Liabilities in Balance Sheet |
The following table presents a reconciliation of gross to net amounts for derivative asset and liability balances:
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December 2021 |
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December 2020 |
(In thousands) |
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Derivative Asset |
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Derivative Liability |
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Derivative Asset |
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Derivative Liability |
Gross amounts presented in the balance sheet |
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$ |
7,321 |
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$ |
(8,024) |
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$ |
7,531 |
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$ |
(25,103) |
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Gross amounts not offset in the balance sheet |
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(1,636) |
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1,636 |
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(1,818) |
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1,818 |
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Net amounts |
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$ |
5,685
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$ |
(6,388) |
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$ |
5,713
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$ |
(23,285) |
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Derivatives Classified as Current or Noncurrent Based on Maturity Dates |
The following table presents the location of derivatives in the Company's balance sheets, with current or noncurrent classification based on maturity dates:
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(In thousands) |
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December 2021 |
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December 2020 |
Prepaid expenses and other current assets |
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$ |
6,356 |
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$ |
5,773 |
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Accrued liabilities |
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(1,623) |
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(7,166) |
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Other assets |
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965 |
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1,758 |
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Other liabilities |
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(6,401) |
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(17,937) |
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Effects of Cash Flow Hedging Included in Consolidated Statements of Income and Consolidated Statements of Comprehensive Income |
The following tables present the pre-tax effects of cash flow hedges included in the Company's statements of operations and statements of comprehensive income:
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(In thousands) |
Gain (Loss) on Derivatives Recognized in AOCL Year Ended December |
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Cash Flow Hedging Relationships |
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2021 |
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2020 |
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2019 |
Foreign currency exchange contracts |
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$ |
6,900 |
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$ |
(8,193) |
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$ |
3,683 |
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Interest rate swap agreements |
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4,238 |
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(18,224) |
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(1,954) |
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Total |
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$ |
11,138
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$ |
(26,417) |
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$ |
1,729
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(In thousands) |
Gain (Loss) Reclassified from AOCL into Income Year Ended December |
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Location of Gain (Loss) |
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2021 |
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2020 |
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2019 |
Net revenues |
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$ |
204 |
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$ |
(458) |
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$ |
(844) |
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Cost of goods sold |
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(2,271) |
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3,171 |
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6,745 |
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Other expense, net |
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(749) |
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149 |
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343 |
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Interest expense |
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(6,019) |
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(5,004) |
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1,136 |
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Total |
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$ |
(8,835) |
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$ |
(2,142) |
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$ |
7,380
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Derivatives Included in Consolidated Statements of Income |
The following table presents a summary of these derivatives included in the Company's statements of operations:
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(In thousands) |
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Gain (Loss) on Derivatives Recognized in Income Year Ended December |
Derivatives Not Designated as Hedges |
Location of Gain (Loss) on Derivatives Recognized in Income |
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2021 |
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2020 |
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2019 |
Foreign currency exchange contracts |
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Net revenues |
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$ |
(104) |
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$ |
90 |
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$ |
— |
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Cost of goods sold |
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7 |
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(2,749) |
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829 |
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Other expense, net |
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385 |
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(1) |
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— |
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Total |
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$ |
288
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$ |
(2,660) |
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$ |
829
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