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CASH FLOW INFORMATION
3 Months Ended
Mar. 31, 2019
CASH FLOW INFORMATION  
CASH FLOW INFORMATION

8. CASH FLOW INFORMATION

 

Reconciliation of cash, cash equivalents and restricted cash as reported in the condensed consolidated balance sheets to the total of the same such amounts shown above:

 

 

 

 

 

 

 

 

 

March 31,

 

December 30,

(in thousands)

 

2019

 

2018

Cash and equivalents

 

$

17,378

 

$

21,906

Restricted cash included in other assets (1)

 

 

26,649

 

 

28,649

Total cash, cash equivalents and restricted cash

 

$

44,027

 

$

50,555

_____________________

(1) Restricted cash balances are time deposit accounts secured against letters of credit primarily related to contractual agreements with our workers’ compensation insurance carrier and one of our property leases. 

 

Cash paid for interest and income taxes and other non-cash activities consisted of the following:

 

 

 

 

 

 

 

 

 

Three Months Ended

 

 

March 31,

 

April 1,

(in thousands)

 

2019

 

2018

Interest paid (net of amount capitalized)

    

$

28,323

    

$

10,592

Income taxes paid (net of refunds)

 

 

(152)

 

 

44

 

 

 

Other non-cash financing activities includes the issuance of $75.0 million of Additional 2031 Notes in exchange for $75.0 million of our 2029 Debentures during March 2019.