0001571049-14-000578.txt : 20140224 0001571049-14-000578.hdr.sgml : 20140224 20140224062045 ACCESSION NUMBER: 0001571049-14-000578 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20140104 FILED AS OF DATE: 20140224 DATE AS OF CHANGE: 20140224 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BlueLinx Holdings Inc. CENTRAL INDEX KEY: 0001301787 STANDARD INDUSTRIAL CLASSIFICATION: WHOLESALE-LUMBER, PLYWOOD, MILLWORK & WOOD PANELS [5031] IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0101 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-32383 FILM NUMBER: 14635475 BUSINESS ADDRESS: STREET 1: 4300 WILDWOOD PARKWAY CITY: ATLANTA STATE: GA ZIP: 30339 BUSINESS PHONE: 770-953-7000 MAIL ADDRESS: STREET 1: 4300 WILDWOOD PARKWAY CITY: ATLANTA STATE: GA ZIP: 30339 10-K 1 t78310_10k.htm FORM 10-K

 



UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
 
Form 10-K
 
(Mark One)
þ
ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
   
 
For the fiscal year ended January 4, 2014
OR
   
o
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
Commission file number: 1-32383
 
 
BLUELINX HOLDINGS INC.
(Exact name of registrant as specified in its charter)
 
Delaware
77-0627356
(State or other jurisdiction of
incorporation or organization)
(I.R.S. Employer
Identification No.)
   
4300 Wildwood Parkway, Atlanta, Georgia
30339
(Address of principal executive offices)
(Zip Code)
 
Registrant’s telephone number, including area code:
770-953-7000
 
Securities registered pursuant to Section 12(b) of the Act:
 
Title of Each Class   
 
Name of Each Exchange on Which Registered 
    Common stock, par value $0.01 per share
 
New York Stock Exchange
 
Securities registered pursuant to Section 12(g) of the Act:
None
 
 
Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.  Yes o     No þ
 
Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act.  Yes o     No þ
 
Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes þ     No o
 
Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes þ     No o
 
Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K is not contained herein, and will not be contained, to the best of registrant’s knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K.  þ
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):
 
Large accelerated filer  o Accelerated filer o   Non-accelerated filer þ Smaller reporting company o
       
(Do not check if a smaller reporting company)
 
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Act).  Yes o     No þ
 
The aggregate market value of the registrant’s common stock held by non-affiliates of the registrant as of June 29, 2013 was $54,108,842, based on the closing price on the New York Stock Exchange of $2.15 per share on June 28, 2013.
 
As of February 24, 2014, the registrant had 87,621,553  shares of common stock outstanding.
 
 
DOCUMENTS INCORPORATED BY REFERENCE
 
Part III of this Annual Report on Form 10-K incorporates by reference to the registrant’s definitive Proxy Statement, to be filed with the Securities and Exchange Commission within 120 days of the close of the fiscal year ended January 4, 2014.
 


 
 

 

 
BLUELINX HOLDINGS INC.
 
ANNUAL REPORT ON FORM 10-K
For the Fiscal year ended January 4, 2014
 
TABLE OF CONTENTS
         
PART I
         
   
4
         
   
8
         
   
15
         
   
16
         
   
16
         
   
16
         
PART II
         
   
17
         
   
19
         
   
20
         
   
37
         
   
38
         
   
78
         
   
78
         
   
78
         
PART III
         
   
79
         
   
79
         
   
79
         
   
79
         
   
79
         
PART IV
         
   
80
 
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CAUTIONARY STATEMENT CONCERNING FORWARD-LOOKING STATEMENTS
 
This Annual Report on Form 10-K includes “forward-looking statements” within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended. Forward-looking statements include, without limitation, any statement that may predict, forecast, indicate or imply future results, performance or achievements, and may contain the words “anticipate,” “believe,” “could,” “expect,” “estimate,” “intend,” “may,” “project,” “plan,” “should,” “will be,” “will likely continue,” “will likely result” or words or phrases of similar meaning. You should read statements containing these words carefully, because they discuss our future expectations, contain projections of our future results or state other “forward-looking” information.
 
Forward-looking statements are based on estimates and assumptions made by us that, although believed by us to be reasonable, involve inherent risks and uncertainties, including, but not limited to, economic, competitive, governmental and technological factors outside of our control, that may cause our business, strategy or actual results to differ materially from the forward-looking statements.  We operate in a changing environment in which new risks can emerge from time to time.  It is not possible for management to predict all of these risks, nor can it assess the extent to which any factor, or a combination of factors, may cause our business, strategy or actual results to differ materially from those contained in forward-looking statements.  Factors you should consider that could cause these differences include, among other things:
 
 
changes in the prices, supply and/or demand for products which we distribute, especially as a result of conditions in the residential housing market;
 
 
the acceptance by our customers of our privately branded products;
 
 
inventory levels of new and existing homes for sale;
 
 
general economic and business conditions in the United States;
 
 
the financial condition and credit worthiness of our customers;
 
 
the activities of competitors;
 
 
changes in significant operating expenses;
 
 
fuel costs;
 
 
risk of losses associated with accidents;
 
 
exposure to product liability claims;
 
 
changes in the availability of capital and interest rates;
 
 
immigration patterns and job and household formation;
 
 
our ability to identify acquisition opportunities and effectively and cost-efficiently integrate acquisitions;
 
 
adverse weather patterns or conditions;
 
 
acts of war or terrorist activities, including cyber intrusion;
 
 
variations in the performance of the financial markets, including the credit markets; and
 
 
the risk factors discussed under Item 1A. Risk Factors and elsewhere in this Form 10-K.
 
Forward-looking statements speak only as of the date of this Form 10-K. Except as required under federal securities laws and the rules and regulations of the SEC, we do not have any intention, and do not undertake, to update any forward-looking statements to reflect events or circumstances arising after the date of this Form 10-K, whether as a result of new information, future events or otherwise. As a result of these risks and uncertainties, readers are cautioned not to place undue reliance on the forward-looking statements included in this Form 10-K or that may be made elsewhere from time to time by or on behalf of us. All forward-looking statements attributable to us are expressly qualified by these cautionary statements.
 
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As used herein, unless the context otherwise requires, “BlueLinx,” the “Company,” “we,” “us” and “our” refer to BlueLinx Holdings Inc. and its subsidiaries. BlueLinx Corporation is the wholly-owned operating subsidiary of BlueLinx Holdings Inc. and is referred to herein as the “operating company” when necessary. Reference to “fiscal 2013” refers to the 53-week period ended January 4, 2014.  Reference to “fiscal 2012” refers to the 52-week period ended December 29, 2012.  Reference to “fiscal 2011” refers to the 52-week period ended December 31, 2011.
 
ITEM 1. BUSINESS.
 
Company Overview
 
BlueLinx Holdings Inc., operating through our wholly-owned subsidiary, BlueLinx Corporation, is a leading distributor of building products in North America. We operate in all of the major metropolitan areas in the United States (“U.S.”) and, as of January 4, 2014, we distributed approximately 10,000 products from over 750 suppliers to service approximately 11,500 customers nationwide, including dealers, industrial manufacturers, manufactured housing producers and home improvement retailers. We operate our distribution business from sales centers in Atlanta and Denver, and our network of approximately 50 distribution centers.
 
We distribute products in two principal categories: structural products and specialty products. Structural products, which represented approximately 44%, 42% and 39% of our fiscal 2013, fiscal 2012 and fiscal 2011 gross sales, respectively, include plywood, oriented strand board (“OSB”), rebar and remesh, lumber and other wood products primarily used for structural support, walls and flooring in construction projects. Specialty products, which represented approximately 56%, 58% and 61% of our fiscal 2013, fiscal 2012 and fiscal 2011 gross sales, respectively, include roofing, insulation, specialty panels, moulding, engineered wood products, vinyl products (used primarily in siding), outdoor living and metal products (excluding rebar and remesh).
 
Our customers include building materials dealers, industrial users of building products, manufactured housing builders and home improvement centers. We purchase products from over 750 suppliers and serve as a national distributor for a number of our suppliers. We distribute products through our owned and leased fleet of over 480 trucks and over 700 trailers, as well as by common carrier.
 
Our principal executive offices are located at 4300 Wildwood Parkway, Atlanta, Georgia 30339 and our telephone number is (770) 953-7000. Our filings with the U.S. Securities and Exchange Commission, including annual reports on Form 10-K, quarterly reports on Form 10-Q, current reports on Form 8-K, proxy statements and amendments to those reports, are accessible free of charge at our official website, www.BlueLinxCo.com. We have adopted a Code of Ethics within the meaning of Item 406(b) of Regulation S-K. This Code of Ethics applies to our principal executive officer, principal financial officer and principal accounting officer. This Code of Ethics, our board committee charters and our corporate governance guidelines are publicly available without charge at www.BlueLinxCo.com or without charge upon request by writing to BlueLinx Holdings Inc., Attn: Corporate Secretary, 4300 Wildwood Parkway, Atlanta, Georgia 30339. If we make substantial amendments to our Code of Ethics or grant any waiver, including any implicit waiver, we will disclose the nature of such amendment or waiver on our website or in a report on Form 8-K. The reference to our website does not constitute incorporation by reference of the information contained at the site, and our website is not considered part of this filing.
 
History
 
We were created on March 8, 2004 as a Georgia corporation named ABP Distribution Holdings Inc. (“ABP”). ABP was owned by Cerberus Capital Management, L.P. (Cerberus Capital Management, L.P. and its subsidiaries are referred to herein as “Cerberus”), a private, New York-based investment firm, and members of our management team. Prior to May 7, 2004, certain of our assets were owned by the distribution division (the “Division”) of Georgia-Pacific Corporation (“Georgia-Pacific” or “G-P”). The Division commenced operations in 1954 with 13 warehouses primarily used as an outlet for G-P’s plywood. On May 7, 2004, G-P sold the assets of the Division to ABP. ABP subsequently merged into BlueLinx Holdings Inc. On December 17, 2004, we consummated an initial public offering of our common stock.
 
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Products and Services
 
As of January 4, 2014, we distributed approximately 10,000 different structural and specialty products to approximately 11,500 customers nationwide. Our structural products are primarily used for structural support, walls, flooring and roofing in construction projects. Additional end uses of our structural products include outdoor decks, sheathing, crates and boxes. Our specialty products include engineered lumber, roofing, insulation, metal products (excluding rebar and remesh), vinyl products (used primarily in siding), moulding, outdoor living and particle board. In some cases, these products are branded by us. None of our customers individually constitute more than 10% of fiscal 2013 sales.
 
We also provide a wide range of value-added services and solutions to our customers and suppliers including:
 
 
providing “less-than-truckload” delivery services;
 
 
pre-negotiated program pricing plans;
 
 
inventory stocking;
 
 
automated order processing through an electronic data interchange, or “EDI”, that provides a direct link between us and our customers;
 
 
inter-modal distribution services, including railcar unloading and cargo reloading onto customers’ trucks; and
 
 
back-haul services, when otherwise empty trucks are returning from customer deliveries.
 
Distribution Channels
 
We sell products through three main distribution channels:
 
Warehouse Sales
 
Warehouse sales are delivered from our warehouses to dealers, home improvement centers and industrial users. We deliver products primarily using our fleet of over 480 trucks and over 700 trailers, but also occasionally use common carriers for peak load flexibility. We operate in all of the major metropolitan areas in the U.S. through our network of approximately 50 distribution centers. The warehouses from which we operate have approximately 9.5 million square feet of space under roof, plus significant outdoor storage space. Warehouse sales accounted for approximately 71% of our fiscal 2013 and fiscal 2012 gross sales.
 
Reload Sales
 
Reload sales are similar to warehouse sales but are shipped from third-party warehouses where we store owned product in order to enhance operating efficiencies. This channel is employed primarily to service strategic customers that would be uneconomical to service from our warehouses and to distribute large volumes of imported products from port facilities. Reload sales accounted for approximately 10% and 9% of our gross sales in fiscal 2013 and fiscal 2012, respectively.
 
Direct Sales
 
Direct sales are shipped from the manufacturer to the customer without our taking physical inventory possession. This channel requires the lowest amount of committed capital and fixed costs. Direct sales accounted for approximately 19% and 20% of our fiscal 2013 and fiscal 2012 gross sales, respectively.
 
5

 

 


Customers
 
As of January 4, 2014, our customer base included approximately 11,500 customers across multiple market segments and various end-use markets, including the following types of customers:
 
 
building materials dealers;
 
 
industrial users of building products;
 
 
manufactured housing builders; and
 
 
home improvement centers.
 
None of these customers individually constitute more than 10% of fiscal 2013 sales.
 
Sales and Marketing
 
Our sales efforts are directed primarily through our sales force of approximately 450 sales representatives, of which approximately 275 are primarily located at our two sales centers in Denver and Atlanta and inside various branch locations. Within these sales centers, our sales representatives interact with our customers over the telephone. The remaining sales representatives are located throughout the country and are responsible for maintaining a local dialogue with our customers, including making frequent, in-person visits.
 
Our sales force is separated between industrial/dealer sales and home improvement center sales. Industrial/dealer sales are managed by regional vice-presidents with sales teams organized by geographical customer regions. The majority of industrial/dealer orders are processed by telephone and are facilitated by our centralized database of customer preferences and purchasing history. We also have dedicated cross-functional customer support teams focused on strategic growth with the home improvement centers.
 
Suppliers
 
As of January 4, 2014, our vendor base included over 750 suppliers of both structural and specialty building products. In some cases, these products are branded. We have supply contracts in place with many of our vendors. Terms for these agreements frequently include prompt payment discounts, freight allowances and occasionally include volume discounts, growth incentives, marketing allowances, and consigned inventory.
 
Competition
 
The U.S. building products distribution market is a highly fragmented market, served by a small number of multi-regional distributors, several regionally focused distributors and a large number of independent local distributors. Local and regional distributors tend to be closely held and often specialize in a limited number of segments, such as the roofing segment, in which they offer a broader selection of products. Some of our multi-regional competitors are part of larger companies and therefore have access to greater financial and other resources than those to which we have access. We compete on the basis of breadth of product offering, consistent availability of product, product price and quality, reputation, service and distribution facility location.
 
Our two largest competitors are Boise Cascade Company and Weyerhaeuser Company.  Most major markets are served by at least one of these distributors.
 
Seasonality
 
We are exposed to fluctuations in quarterly sales volumes and expenses due to seasonal factors. These seasonal factors are common in the building products distribution industry. The first and fourth quarters are typically our slowest quarters due to the impact of poor weather on the construction market. Our second and third quarters are typically our strongest quarters, reflecting a substantial increase in construction due to more favorable weather conditions. Our working capital and accounts receivable and payable generally peak in the third quarter, while inventory generally peaks in the second quarter in anticipation of the summer building season.
 
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Trademarks
 
As of January 4, 2014, we had 43 U.S. trademark applications and registrations, one issued U.S. patent and one Canadian trademark registration. Depending on the jurisdiction, trademarks are valid as long as they are in use and/or their registrations are properly maintained and they have not become generic. Registrations of trademarks generally can be renewed indefinitely as long as the trademarks are in use. We do not believe our business is dependent on any one of our trademarks or on our patent.
 
Employees
 
As of January 4, 2014, we employed approximately 1,700 persons on a full-time basis. Approximately 33% of our employees were represented by various labor unions.  As of January 4, 2014, we had 36 collective bargaining agreements, of which 5, covering approximately 58 total employees, are up for renewal in fiscal 2014.  We consider our relationship with our employees generally to be good.
 
Executive Officers
 
The following table contains the name, age and position with our Company of each of our current executive officers as of February 24, 2014.
 
Name
 
 
Age
 
Position
Mitchell B. Lewis
 
51
 
President, Chief Executive Officer and Director (since January 20, 2014)
H. Douglas Goforth
 
50
 
Chief Financial Officer and Treasurer (since 2008) and Principal Accounting Officer (since January 2014)
Sara E. Epstein
 
36
 
Vice President, General Counsel and Corporate Secretary (since February 2013)
Robert P. McKagen
 
54
 
Senior Vice President, Sales and Operations (since 2012)
 
Mitchell B. Lewis has served as our President and Chief Executive Officer, and as a Director of BlueLinx Holdings Inc. effective as of January 20, 2014. Mr. Lewis has held numerous leadership positions in the building products industry since 1992. Mr. Lewis served as a director and as President and Chief Executive Officer of Euramax Holdings, Inc. from February 2008 through November 2013. Mr. Lewis also served as chief operating officer in 2005, executive vice president in 2002, and group vice president in 1997 of Euramax Holdings, Inc. and its predecessor companies. Prior to being appointed group vice president, Mr. Lewis served as president of Amerimax Building Products, Inc. Prior to 1992, Mr. Lewis served as corporate counsel with Alumax Inc. and practiced law with Alston & Bird LLP, specializing in mergers and acquisitions.
 
H. Douglas Goforth has served as our Senior Vice President, Chief Financial Officer and Treasurer since February 2008. He has served as our Principal Accounting Officer since January 2014. From November 2006 until February 2008, Mr. Goforth served as Vice President and Corporate Controller for Armor Holdings Inc. which was acquired by BAE Systems in July 2007. Previously he served as Corporate Controller for BlueLinx from May 2004 until October 2006, where he played a key role in our 2004 IPO. From 2002 until 2004, he served as Controller for the Distribution Division of Georgia-Pacific Corporation. Mr. Goforth has 25 years of combined accounting, finance, treasury, acquisition and management experience with leading distribution and manufacturing companies including Mitsubishi Wireless Communications, Inc., Yamaha Motor Manufacturing, Inc. and Ingersoll-Rand. Mr. Goforth is a North Carolina State Board Certified Public Accountant and earned a Bachelor of Science in Accounting from Mars Hill College in North Carolina.
 
Sara E. Epstein has served as our Vice President, General Counsel and Corporate Secretary since February 2013, and our Senior Counsel and Corporate Secretary since March 2010. Prior to joining us, Ms. Epstein was an attorney with Jones Day. Ms. Epstein received a Juris Doctor degree from Tulane University and a Bachelor of Arts degree from Tufts University.
 
Robert P. McKagen has served as our Senior Vice President of Sales and Operations since 2012. He served as our Vice President Supply Chain from 2009 through 2011 and our Regional Vice President of the South Region from the Company’s inception in 2001 through 2009. Mr. McKagen has nearly 29 years of industry experience. Prior to working at BlueLinx, Mr. McKagen worked at the Division from 1985 through 2001 in a wide range of roles, including inside sales, outside sales, branch manager, regional commodity manager, and general manager. He received a Bachelor in Business Administration from Florida Atlantic University.  
7

 
 
Environmental and Other Governmental Regulations
 
Our operations are subject to various federal, state, provincial and local laws, rules and regulations. We are subject to environmental laws, rules and regulations that limit discharges into the environment, establish standards for the handling, generation, emission, release, discharge, treatment, storage and disposal of hazardous materials, substances and wastes, and require cleanup of contaminated soil and groundwater. These laws, ordinances and regulations are complex, change frequently and have tended to become more stringent over time. Many of them provide for substantial fines and penalties, orders (including orders to cease operations) and criminal sanctions for violations. They may also impose liability for property damage and personal injury stemming from the presence of, or exposure to, hazardous substances. In addition, certain of our operations require us to obtain, maintain compliance with, and periodically renew permits.
 
Certain of these laws, including the Comprehensive Environmental Response, Compensation, and Liability Act, may require the investigation and cleanup of an entity’s or its predecessor’s current or former properties, even if the associated contamination was caused by the operations of a third party. These laws also may require the investigation and cleanup of third-party sites at which an entity or its predecessor sent hazardous wastes for disposal, notwithstanding that the original disposal activity accorded with all applicable requirements. Liability under such laws may be imposed jointly and severally, and regardless of fault.
 
G-P has agreed to indemnify us against any claim arising from environmental conditions that existed prior to May 7, 2004 in connection with the properties acquired when G-P sold the assets of the Division to us (see “History” above). In addition, we carry environmental insurance. While we do not expect to incur significant costs to BlueLinx arising from environmental conditions, there can be no assurance that all such costs will be covered by indemnification or insurance.
 
We are also subject to the requirements of the U.S. Department of Labor Occupational Safety and Health Administration, or “OSHA”. In order to maintain compliance with applicable OSHA requirements, we have established uniform safety and compliance procedures for our operations and implemented measures to prevent workplace injuries.
 
The U.S. Department of Transportation, or “DOT”, regulates our operations in domestic interstate commerce. We are subject to safety requirements governing interstate operations prescribed by the DOT. Vehicle dimensions and driver hours of service also remain subject to both federal and state regulation.
 
We incur and will continue to incur costs to comply with the requirements of environmental, health and safety and transportation laws, ordinances and regulations. We anticipate that these requirements could become more stringent in the future, and we cannot assure you that compliance costs will not be material.
 
ITEM 1A.  RISK FACTORS.
 
In addition to the other information contained in this Form 10-K, the following risk factors should be considered carefully in evaluating our business. Our business, financial condition, or results of operations could be materially adversely affected by any of these risks. Additional risks not presently known to us or that we currently deem immaterial may also impair our business and operations.
 
Our industry is highly cyclical, and prolonged periods of weak demand or excess supply may reduce our net sales and/or margins, which may reduce our net income or cause us to incur losses.
 
The building products distribution industry is subject to cyclical market pressures. Prices of building products are determined by overall supply and demand in the market for building products. Market prices of building products historically have been volatile and cyclical, and we have limited ability to control the timing and amount of pricing changes for building products. Demand for building products is driven mainly by factors outside of our control, such as general economic and political conditions, interest rates, availability of mortgage financing, the construction, repair and remodeling and industrial markets, weather and population growth. The supply of building products fluctuates based on available manufacturing capacity, and excess capacity in the industry can result in significant declines in market prices for those products. To the extent that prices and volumes experience a sustained or sharp decline, our net sales and margins likely would decline as well. Because we have substantial fixed costs, a decrease in sales and margin generally may have a significant adverse impact on our financial condition, operating results and cash flows. Our results in some periods have been affected by market volatility, including a reduction in gross profits due to a decline in the resale value of our structural products inventory. All of these factors make it difficult to forecast our operating results.
 
8

 
Our industry is dependent on the homebuilding industry which has suffered from a prolonged significant downturn, and any slowdown in the current recovery or any future downturns would materially affect our business, liquidity and operating results.
 
Our sales depend heavily on the strength of national and local new residential construction and home improvement and remodeling markets. The strength of these markets depends on new housing starts and residential renovation projects, which are a function of many factors beyond our control. Some of these factors include general economic conditions, employment levels, job and household formation, interest rates, housing prices, tax policy, availability of mortgage financing, prices of commodity wood and steel products, immigration patterns, regional demographics and consumer confidence. The overall housing market and the economy have been improving; however, the U.S. residential construction market has suffered from a multi-year downturn that was one of the most severe housing downturns in United States history. While there have been signs of improvement in the U.S. economy generally, and in the residential housing market in particular, it is unclear if and to what extent the residential construction market will continue to improve during fiscal 2014.
 
Our results of operations were adversely affected by the severe downturn in new housing activity in the United States, and, while recently improving, any slowdown in the current recovery or any future downturns in the markets that we serve or in the economy generally will have a material adverse effect on our operating results, liquidity and financial condition. Reduced levels of construction activity may result in continued intense price competition among building materials suppliers, which may adversely affect our gross margins. We cannot provide assurance that our responses to future downturns in the economy in general, and in the residential housing market in particular, will be successful.
 
A significant portion of our sales are on credit to our customers. Material changes in their credit worthiness or our inability to forecast deterioration in their credit position could have a material adverse effect on our operating results, cash flow and liquidity.
 
The majority of our sales are on account where we provide credit to our customers. Market disruptions could cause economic downturns, which may lead to lower demand for our products and increased incidence of customers’ inability to pay their accounts. Bankruptcies by our customers may cause us to incur bad debt expense at levels higher than historically experienced. In fiscal 2013, approximately 0.1% in bad debt expense to total net sales was incurred related to credit sales. Our customers are generally susceptible to the same economic business risks as we are. Furthermore, we may not necessarily be aware of any deterioration in their financial position. If our customers’ financial position becomes impaired, it could have a significant impact on our bad debt exposure and could have a material adverse effect on our operating results, cash flow and liquidity. In addition, certain of our suppliers potentially may be impacted as well, causing disruption or delay of product availability. These events would adversely impact our results of operations, cash flows and financial position.
 
Our cash flows and capital resources may be insufficient to make required payments on our substantial indebtedness and future indebtedness or to maintain our required level of excess liquidity.
 
We have a substantial amount of debt. As of January 4, 2014, we had outstanding borrowings of $207.9 million and excess availability of $44.5 million under the terms of our U.S. revolving credit facility (the “U.S. revolving credit facility”), outstanding borrowings of $3.3 million and excess availability of $1.3 million under our Canadian revolving credit facility (the “Canadian revolving credit facility”) and outstanding letters of credit totaling $3.6 million. As of January 4, 2014, the principal amount outstanding on our mortgage loan with the German American Capital Corporation was $186.9 million.
 
Our substantial debt could have important consequences to you. For example, it could:
 
 
make it difficult for us to satisfy our debt obligations;
 
 
make us more vulnerable to general adverse economic and industry conditions;
9

 
 
limit our ability to obtain additional financing for working capital, capital expenditures, acquisitions and other general corporate requirements as our excess liquidity likely will decrease while our industry and our Company continues its recovery from the historic housing market downturn;
 
 
expose us to interest rate fluctuations because the interest rate on the debt under our U.S. revolving credit facility is variable;
 
 
require us to dedicate a substantial portion of our cash flow from operations to payments on our debt, thereby reducing the availability of our cash flow for operations and other purposes;
 
 
limit our flexibility in planning for, or reacting to, changes in our business and the industry in which we operate; and
 
 
place us at a competitive disadvantage compared to competitors that may have proportionately less debt, and therefore may be in a better position to get favorable credit terms.
  
In addition, our ability to make scheduled payments or refinance our obligations depends on our successful financial and operating performance, cash flows and capital resources, which in turn depend upon prevailing economic conditions and certain financial, business and other factors, many of which are beyond our control. These factors include, among others:
 
 
economic and demand factors affecting the building products distribution industry;
  
 
pricing pressures;
  
 
increased operating costs;
  
 
competitive conditions; and
  
 
other operating difficulties.  
  
If our cash flows and capital resources are insufficient to fund our debt service obligations, we may be forced to reduce or delay capital expenditures, sell material assets or operations, obtain additional capital or restructure our debt. Obtaining additional capital or restructuring our debt could be accomplished in part through new or additional borrowings or placements of debt or equity securities. There is no assurance that we could obtain additional capital or restructure our debt on terms acceptable to us or at all. In the event that we are required to dispose of material assets or operations to meet our debt service and other obligations, the value realized on the disposition of such assets or operations will depend on market conditions and the availability of buyers. Accordingly, any such sale may not, among other things, be for a sufficient dollar amount. Our obligations under the revolving credit facilities are secured by a first priority security interest in all of our operating subsidiary’s and BlueLinx Building Products Canada Ltd.’s (“BlueLinx Canada’s”)  (for the Canadian revolving credit facility) inventories, receivables and proceeds from those items. In addition, our mortgage loan is secured by the majority of our real property. The foregoing encumbrances may limit our ability to dispose of material assets or operations. We also may not be able to restructure our indebtedness on favorable economic terms, if at all. We may incur substantial additional indebtedness in the future, including under the revolving credit facilities. Our incurring additional indebtedness would intensify the risks described above.
 
The instruments governing our indebtedness contain various covenants limiting the discretion of our management in operating our business, including requiring us to maintain a minimum level of excess liquidity.
 
Our revolving credit facilities and mortgage loan contain various restrictive covenants and restrictions, including financial covenants customary for asset-based loans that limit management’s discretion in operating our business. In particular, these instruments limit our ability to, among other things:
 
 
incur additional debt;
 
 
grant liens on assets;
 
 
make investments, including capital expenditures;
10

 
 
sell or acquire assets outside the ordinary course of business;
 
 
engage in transactions with affiliates; and
 
 
make fundamental business changes.
 
As of January 4, 2014, the U.S. revolving credit facility requires us to maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the “Excess Availability Threshold”).  If we fail to maintain this minimum excess availability, the U.S. revolving credit facility requires us to (i) maintain certain financial ratios, which we would not meet with current operating results, and (ii) limit our capital expenditures, which would have a negative impact on our ability to finance working capital needs and capital expenditures.  In the event that excess availability falls below $37.1 million or the amount equal to 15% of the lesser of the borrowing base or $447.5 million, the U.S. revolving credit facility gives the lenders the right, but not the obligation, to dominion over our bank accounts.  This would not make the underlying debt callable by the lender and may not change our ability to borrow on the U.S. revolving credit facility.  However, we would be required to reclassify the “Long-term debt” to “Current maturities of long-term debt” on our Consolidated Balance Sheet.  
 
If we fail to comply with the restrictions in the U.S. revolving credit facility, the Canadian revolving credit facility, the mortgage loan documents or any other current or future financing agreements, a default may allow the creditors under the relevant instruments to accelerate the related debt and to exercise their remedies under these agreements, which will typically include the right to declare the principal amount of that debt, together with accrued and unpaid interest and other related amounts, immediately due and payable, to exercise any remedies the creditors may have to foreclose on assets that are subject to liens securing that debt and to terminate any commitments they had made to supply further funds.
 
We are dependent upon several large suppliers for a significant percentage of our products.
 
Although we have made progress in diversifying our supplier base, we are still dependent on several large suppliers for a significant percentage of our products. Purchases in fiscal 2013 from the five largest suppliers were approximately 26% in the aggregate. None of these suppliers individually constitute more than 10% of our product purchases.
 
Although in many instances we have agreements with our suppliers, these agreements are generally terminable by either party on limited notice. Failure by our suppliers to continue to supply us with products on commercially reasonable terms, or at all, could put pressure on our gross margins or have a material adverse effect on our financial condition, operating results, and cash flows.
 
The market for our private label products may not develop as anticipated, and we may have problems in the supply chain for these products.
 
We have been increasing the number of private label products that we offer to our customers. Private label products are those that are manufactured for us by third parties, but are then branded by us. The market for these products may be slow to develop or may not develop at all if customers prefer to purchase the more commonly recognized “name brand” versions of the same products. These products are manufactured on our behalf by third party suppliers, and we do not directly control the manufacturing process. As a result, while such products must generally meet certain quality standards set by us, it is possible that our results may be negatively impacted if there are defects in the manufacturing process that are not identified prior to our branding of the products and the sale to our customers. Further, problems in the supply chain, including but not limited to manufacturing disruptions, transportation disruptions, or other operational problems for these products may adversely impact our ability to maintain sufficient inventory levels for the private label products.
 
We source many products internationally and are exposed to risks associated with doing business globally.
 
We import a variety of products from countries located in Asia, South America and the Middle East.  The business, regulatory and political environments in these countries differ from those in the U.S. Our global sourcing strategy is subject to risks and uncertainties, including changes in foreign country regulatory requirements; differing business practices associated with foreign operations; imposition of foreign tariffs and other trade barriers; political, legal and economic instability; foreign currency exchange rate fluctuations; foreign country tax rules, regulations and other requirements, such as changes in tax rates and statutory and judicial interpretations in tax laws; inflation; differing labor laws and changes in those laws; government price controls; and work stoppages and disruptions in the shipping of imported and exported products.
11

 
 
Our transportation operations are subject to significant governmental regulation.
 
We use our own fleet of over 480 tractors and over 700 trailers to service customers throughout the United States. Our transportation operations are subject to the regulatory jurisdiction of the DOT. The DOT has broad administrative powers with respect to our transportation operations.  If we fail to adequately comply with DOT regulations or regulations become more stringent, we could experience increased inspections, regulatory authorities could take remedial action including imposing fines or shutting down our operations or we could be subject to increased audit and compliance costs. If any of these events were to occur, our results of operations, business, cash flow, and financial condition would be adversely affected.
 
Product shortages, loss of key suppliers, and our dependence on third-party suppliers and manufacturers could affect our financial health.
 
Our ability to offer a wide variety of products to our customers is dependent upon our ability to obtain adequate product supply from manufacturers and other suppliers. Generally, our products are obtainable from various sources and in sufficient quantities. However, the loss of, or a substantial decrease in the availability of, products from our suppliers or the loss of key supplier arrangements could adversely impact our financial condition, operating results, and cash flows.
 
Although in many instances we have agreements with our suppliers, these agreements are generally terminable by either party on limited notice. Failure by our suppliers to continue to supply us with products on commercially reasonable terms, or at all, could put pressure on our gross margins or have a material adverse effect on our financial condition, operating results, and cash flows.
 
Our industry is highly fragmented and competitive. If we are unable to compete effectively, our net sales and operating results will be reduced.
 
The building products distribution industry is highly fragmented and competitive, and the barriers to entry for local competitors are relatively low. Competitive factors in our industry include pricing and availability of product, service and delivery capabilities, ability to assist with problem-solving, customer relationships, geographic coverage and breadth of product offerings. Also, financial stability is important to suppliers and customers in choosing distributors for their products and affects the favorability of the terms on which we are able to obtain our products from our suppliers and sell our products to our customers.
 
Some of our competitors are part of larger companies and therefore have access to greater financial and other resources than those to which we have access. In addition, certain product manufacturers sell and distribute their products directly to customers. Additional manufacturers of products distributed by us may elect to sell and distribute directly to end-users in the future or enter into exclusive supply arrangements with other distributors. Finally, we may not be able to maintain our costs at a level sufficiently low for us to compete effectively. If we are unable to compete effectively, our net sales and net income will be reduced.
 
Integrating acquisitions may be time-consuming and create costs that could reduce our operating results and cash flows.
 
We may elect to selectively pursue acquisitions. Any integration process may be complex and time consuming, may be disruptive to the business and may cause an interruption of, or a distraction of management’s attention from, the business as a result of a number of obstacles, including but not limited to:
 
 
the loss of key customers of the acquired company;
 
 
the incurrence of unexpected expenses and working capital requirements;
 
 
a failure of our due diligence process to identify significant issues or contingencies;
 
12

 
 
 
difficulties assimilating the operations and personnel of the acquired company;
 
 
difficulties effectively integrating the acquired technologies with our current technologies;
 
 
our inability to retain key personnel of acquired entities;
 
 
failure to maintain the quality of customer service;
 
 
our inability to achieve the financial and strategic goals for the acquired and combined businesses; and
 
 
difficulty in maintaining internal controls, procedures and policies.  
 
Any of the foregoing obstacles, or a combination of them, could increase selling, general and administrative expenses in absolute terms and/or as a percentage of net sales, which could in turn negatively impact our operating results and cash flows.
 
We may not be able to consummate acquisitions in the future on terms acceptable to us, or at all. In addition, future acquisitions are accompanied by the risk that the obligations and liabilities of an acquired company may not be adequately reflected in the historical financial statements of that company and the risk that those historical financial statements may be based on assumptions which are incorrect or inconsistent with our assumptions or approach to accounting policies. Any of these material obligations, liabilities or incorrect or inconsistent assumptions could adversely impact our results of operations.
 
A significant percentage of our employees are unionized. Wage increases or work stoppages by our unionized employees may reduce our results of operations.
 
As of January 4, 2014, approximately 33% of our employees were represented by various labor unions. As of January 4, 2014, we had 36 collective bargaining agreements, of which 5, covering approximately 58 total employees, are up for renewal in fiscal 2014. Although we have generally had good relations with our unionized employees and expect to renew collective bargaining agreements as they expire, no assurances can be provided that we will be able to reach a timely agreement as to the renewal of the agreements, and their expiration or continued work under an expired agreement, as applicable, could result in a work stoppage. In addition, we may become subject to material cost increases, or additional work rules imposed by agreements with labor unions. The foregoing could increase our selling, general and administrative expenses in absolute terms and/or as a percentage of net sales. In addition, work stoppages or other labor disturbances may occur in the future, which could adversely impact our net sales and/or selling, general and administrative expenses. All of these factors could negatively impact our operating results and cash flows.
 
Increases in the cost of employee benefits, such as pension and other postretirement benefits, could impact our financial results and cash flow.
 
Unfavorable changes in the cost of our pension retirement benefits and current employees’ medical benefits could materially impact our financial results and cash flow. We sponsor several defined benefit pension plans covering substantially all of our hourly employees. Our estimates of the amount and timing of our future funding obligations for our defined benefit pension plans are based upon various assumptions. These assumptions include, but are not limited to, the discount rate, projected return on plan assets, compensation increase rates, mortality rates, retirement patterns, and turnover rates. In addition, the amount and timing of our pension funding obligations can be influenced by funding requirements that are established by the Employee Retirement Income and Security Act of 1974 (“ERISA”), the Pension Protection Act, Congressional Acts, or other governing bodies.
 
The Company’s minimum required contribution to the noncontributory defined benefit pension plans (the “hourly pension plan”) for plan year 2012 was $3.2 million.  In an effort to preserve additional cash for operations, we applied for a waiver from the Internal Revenue Service (“IRS”) for our 2012 minimum required contribution.  Although the Company’s outside counsel has been notified by the IRS that its waiver request has been preliminarily approved and that the IRS is in the process of finalizing the waiver request, no assurances can be provided that the waiver request will be granted until the Company receives final approval from the IRS.  If we are granted the requested waiver, our contributions for 2012 will be amortized over the following five years, increasing our future minimum required contributions. 
 
The Company’s minimum required contribution for plan year 2013 was estimated to be $6.0 million, assuming we receive the requested waiver.   During the second quarter of fiscal 2013, we contributed certain qualifying employer real property to the hourly pension plan. The properties, including certain land and buildings, are located in Charleston, S.C. and Buffalo, N.Y., and were valued at approximately $6.8 million by independent appraisals prior to the contribution.  The contribution was recorded by the hourly pension plan at the fair market value of $6.8 million.
 
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We currently are required to make three quarterly cash contributions during fiscal 2014 of $1.5 million each related to our 2014 minimum required contribution.
 
We participate in various multi-employer pension plans in the United States. The majority of these plans are underfunded. If, in the future, we choose to withdraw from these plans, we likely would need to record a withdrawal liability, which may be material to our financial results.
 
The payment of dividends has been suspended, and resumption is dependent on business conditions, among other factors. Further, the instruments governing our indebtedness contain various covenants that may limit our ability to pay dividends.
 
We suspended the payment of dividends on our common stock for an indefinite period of time on December 5, 2007. Resumption of the payment of dividends will depend on, among other things, business conditions in the housing industry, our results of operations, cash requirements, financial condition, contractual restrictions, provisions of applicable law and other factors that our board of directors may deem relevant. Accordingly, we may not be able to resume the payment of dividends at the same quarterly rate in the future, if at all.
 
Environmental laws impose risks and costs on us.
 
Our operations are subject to federal, state, provincial and local laws, rules and regulations governing the protection of the environment, including, but not limited to, those regulating discharges into the air and water, the use, handling and disposal of hazardous or toxic substances, the management of wastes, the cleanup of contamination and the control of noise and odors. We have made, and will continue to make, expenditures to comply with these requirements. While we believe, based upon current information, that we are in substantial compliance with all applicable environmental laws, rules and regulations, we could be subject to potentially significant fines or penalties for any failure to comply. Moreover, under certain environmental laws, a current or previous owner or operator of real property, and parties that generate or transport hazardous substances that are disposed of at that real property, may be held liable for the cost to investigate or clean up such real property and for related damages to natural resources. We may be subject to liability, including liability for investigation and cleanup costs, if contamination is discovered at one of our current or former warehouse facilities, or at a landfill or other location where we have disposed of, or arranged for the disposal of, wastes. G-P has agreed to indemnify us against any claim arising from environmental conditions that existed prior to May 7, 2004 in connection with the properties we acquired when we purchased the assets of the Division. However, any remediation costs either not related to conditions existing prior to May 7, 2004 or on properties acquired after May 7, 2004 may not be covered by indemnification. We also carry environmental insurance, but certain remediation costs may not be covered by insurance. We could also be subject to claims brought pursuant to applicable laws, rules or regulations for property damage or personal injury resulting from the environmental impact of our operations. Increasingly stringent environmental requirements, more aggressive enforcement actions, the discovery of unknown conditions or the bringing of future claims may cause our expenditures for environmental matters to increase, and we may incur material costs associated with these matters.
 
Failure to comply with governmental laws and regulations could harm our business.
 
Our business is subject to regulation by various federal, state, local and foreign governmental agencies, including agencies responsible for monitoring and enforcing employment and labor laws, workplace safety, product safety, environmental laws, consumer protection laws, anti-bribery laws, import/export controls, federal securities laws and tax laws and regulations. Noncompliance with applicable regulations or requirements could subject us to investigations, sanctions, mandatory product recalls, enforcement actions, disgorgement of profits, fines, damages, civil and criminal penalties or injunctions. If any governmental sanctions are imposed, or if we do not prevail in any possible civil or criminal litigation, our business, operating results and financial condition could be materially adversely affected. In addition, responding to any action will likely result in a significant diversion of management’s attention and resources and an increase in professional fees. Enforcement actions and sanctions could harm our business, operating results and financial condition.
 
14

 
 
Affiliates of Cerberus control us and may have conflicts of interest with other stockholders in the future.
 
Cerberus beneficially owned approximately 54% of our common stock as of January 4, 2014. As a result, Cerberus is able to control the election of our directors, determine our corporate and management policies and determine, without the consent of our other stockholders, the outcome of any corporate transaction or other matter submitted to our stockholders for approval, including potential mergers or acquisitions, asset sales and other significant corporate transactions. This concentrated ownership position limits other stockholders’ ability to influence corporate matters and, as a result, we may take actions that some of our stockholders do not view as beneficial.
 
Cerberus is controlled by Cerberus Capital Management. Two of our nine directors are employees of or current advisors to Cerberus Capital Management. Cerberus also has sufficient voting power to amend our organizational documents. The interests of Cerberus may not coincide with the interests of other holders of our common stock. Additionally, Cerberus is in the business of making investments in companies and may, from time to time, acquire and hold interests in businesses that compete directly or indirectly with us. Cerberus may also pursue, for its own account, acquisition opportunities that may be complementary to our business, and as a result, those acquisition opportunities may not be available to us. So long as Cerberus continues to own a significant amount of the outstanding shares of our common stock, it will continue to be able to strongly influence or effectively control our decisions, including potential mergers or acquisitions, asset sales and other significant corporate transactions. In addition, because we are a controlled company within the meaning of the New York Stock Exchange rules, we are exempt from the NYSE requirements that our board be composed of a majority of independent directors, that our compensation committee be composed entirely of independent directors, and that we maintain a nominating/corporate governance committee composed entirely of independent directors.
 
Even if Cerberus no longer controls us in the future, certain provisions of our charter documents and agreements and Delaware law could discourage, delay or prevent a merger or acquisition at a premium price.
 
Our Second Amended and Restated Certificate of Incorporation and Amended and Restated Bylaws contain provisions that:
 
permit us to issue, without any further vote or action by the stockholders, up to 30 million shares of preferred stock in one or more series and, with respect to each series, to fix the number of shares constituting the series and the designation of the series, the voting powers (if any) of the shares of such series, and the preferences and other special rights, if any, and any qualifications, limitations or restrictions, of the shares of the series; and
 
 
limit the stockholders’ ability to call special meetings.
 
These provisions may discourage, delay or prevent a merger or acquisition at a premium price.
 
In addition, we are subject to Section 203 of the General Corporation Law of the State of Delaware, or the “DGCL”, which also imposes certain restrictions on mergers and other business combinations between us and any holder of 15% or more of our common stock. Further, certain of our incentive plans provide for vesting of stock options and/or payments to be made to our employees in connection with a change of control, which could discourage, delay or prevent a merger or acquisition at a premium price.
 
We are subject to cyber security risks and may incur increasing costs in an effort to minimize those risks.
 
Our business employs systems and a website that allow for the secure storage and transmission of customers’ proprietary information. Security breaches could expose us to a risk of loss or misuse of this information, litigation and potential liability. We may not have the resources or technical sophistication to anticipate or prevent rapidly evolving types of cyber attacks. Any compromise of our security could result in a violation of applicable privacy and other laws, significant legal and financial exposure, damage to our reputation, and a loss of confidence in our security measures, which could harm our business. As cyber attacks become more sophisticated generally, we may be required to incur significant costs to strengthen our systems from outside intrusions and/or obtain insurance coverage related to the threat of such attacks.
 
ITEM 1B.  UNRESOLVED STAFF COMMENTS.
 
None.
 
15

 
 
 
We own 50 warehouse facilities and lease 2 warehouse facilities . Certain of our warehouse facilities have two buildings. For one of these multiple building facilities, one of the buildings is leased and one is owned. The total square footage under roof at our owned warehouses is approximately 9.4 million square feet. Fifty of our owned warehouse facilities secure our mortgage loan.
 
Our corporate headquarters located at 4300 Wildwood Parkway, Atlanta, Georgia 30339 is approximately 150,000 square feet. During the fourth quarter of fiscal 2007, as part of a restructuring effort, we vacated approximately 100,000 square feet of our corporate headquarters space in the building located at 4100 Wildwood Parkway, Atlanta, Georgia 30339 (the “unoccupied 4100 building”). During the third quarter of fiscal 2011, we entered into an amendment to our corporate headquarters lease in Atlanta, Georgia related to the unoccupied 4100 building.  This amendment released us from our obligations with respect to this unoccupied space as of January 31, 2012, in exchange for a $5.0 million space remittance fee, which was paid in the first quarter of 2012.  We also paid $0.9 million in the third quarter of fiscal 2012 and paid an additional $0.3 million in the first quarter fiscal 2014 related to contractually obligated tenant improvement reimbursement expense.  The provisions relating to the occupied 4300 building remain unchanged.  Under the existing provisions, the current term of the lease ends on January 31, 2019.  The amendment resulted in a reduction of our restructuring reserve of approximately $2.0 million, with the credit recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations included in “Item 8. Financial Statements and Supplementary Data” during fiscal 2011.
 
The following table summarizes our real estate facilities including their inside square footage:
 
Facility Type
 
 
 
Number
   
Owned
Facilities
(sq. ft.)
   
Leased
Facilities
(sq. ft.)
 
Office Space(1)
    3             167,308  
Warehouses (2)
    52       9,386,755       340,600  
TOTAL
    55       9,386,755       507,908  
   
 
(1)
Includes corporate headquarters in Atlanta, the Denver Sales Center and a call center in Vancouver.
 
(2)
Includes our owned Beaverton, Oregon distribution center (129,389 sq. ft), designated as held for sale during the second quarter of fiscal 2013 and our leased Stockton, California facility, which is being marketed for sublease (120,000 sq. ft).
 
We also store materials, such as lumber and rebar, outdoors at all of our warehouse locations, which increases their distribution and storage capacity. We believe that substantially all of our property and equipment is in good condition, subject to normal wear and tear. We believe that our facilities have sufficient capacity to meet current and projected distribution needs.
 
ITEM 3.  LEGAL PROCEEDINGS.
 
We are, and from time to time may be, a party to routine legal proceedings incidental to the operation of our business. The outcome of any pending or threatened proceedings is not expected to have a material adverse effect on our financial condition, operating results or cash flows, based on our current understanding of the relevant facts. Legal expenses incurred related to these contingencies are generally expensed as incurred. We establish reserves for pending or threatened proceedings when the costs associated with such proceedings become probable and can be reasonably estimated.
 
ITEM 4.  MINE SAFETY DISCLOSURES.
 
Not applicable.
 
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ITEM 5.  MARKET FOR REGISTRANT’S COMMON EQUITY, RELATED STOCKHOLDER MATTERS AND ISSUER PURCHASES OF EQUITY SECURITIES.
 
Our equity securities consist of one class of common stock, that is traded on the New York Stock Exchange under the symbol “BXC”. The following table sets forth, for the periods indicated, the range of the high and low sales prices for the common stock as quoted on the New York Stock Exchange:
 
   
High
   
Low
 
Fiscal Year Ended January 4, 2014
           
First Quarter
  $ 3.48     $ 2.42  
Second Quarter
  $ 3.10     $ 1.90  
Third Quarter
  $ 2.29     $ 1.56  
Fourth Quarter
  $ 2.14     $ 1.57  
Fiscal Year Ended December 29, 2012
               
First Quarter
  $ 2.87     $ 1.45  
Second Quarter
  $ 2.89     $ 1.96  
Third Quarter
  $ 2.72     $ 1.97  
Fourth Quarter
  $ 2.85     $ 1.83  
 
As of February 24, 2014, there were 45 registered stockholders, and, as of that date we estimate there were approximately 2,200 beneficial owners holding our common stock in nominee or “street” name.
 
In December 2007, we suspended the payment of dividends on our common stock for an indefinite period of time. Resumption of the payment of dividends will depend on, among other things, business conditions in the housing industry, our results of operations, cash requirements, financial condition, contractual restrictions, provisions of applicable law and other factors that our board of directors may deem relevant. See “Item 8. Financial Statements and Supplementary Data, Note 10. Revolving Credit Facilities” for additional information regarding limitations on the ability of BlueLinx Corporation to transfer funds to its parent, BlueLinx Holdings Inc., which could impact our ability to pay dividends to our stockholders. Accordingly, we may not be able to resume the payment of dividends at the same quarterly rate in the future, if at all.
 
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Performance Graph
 
The chart below compares the quarterly percentage change in the cumulative total stockholder return on our common stock with the cumulative total return on the Russell 2000 Index and a peer group index for the period commencing January 3, 2009 and ending January 4, 2014, assuming an investment of $100 and the reinvestment of any dividends.
 
Our peer group index was selected by us and is comprised of reporting companies with lines of business and product offerings that are comparable to ours and which we believe most accurately represent our business. Our peer group consists of the following companies: Beacon Roofing Supply Inc., Boise Cascade Co. (from February 6, 2013), Builders FirstSource, Inc., Huttig Building Products Inc., Interline Brands Inc. (through September 10, 2012), Universal Forest Products Inc. and Watsco Inc.
 
Comparison of Cumulative Total Return
 
(LINE GRAPH)
 
 
Cumulative Total Return
Years Ending
 
   
Base Period
                               
Company Name/Index
 
01/03/09
   
01/02/10
   
01/01/11
   
12/31/11
   
12/29/12
   
01/04/14
 
BlueLinx Holdings Inc. 
  $ 100     $ 110.36     $ 145.82     $ 75.32     $ 141.10     $ 111.43  
Russell 2000 Index
  $ 100     $ 125.56     $ 159.28     $ 152.63     $ 173.98     $ 244.94  
Peer Group
  $ 100     $ 136.78     $ 165.54     $ 161.21     $ 231.08     $ 295.79  
 
18

 

 

 
 
The following table sets forth certain historical financial data of our Company. The selected financial data for the fiscal years ended January 4, 2014, December 29, 2012, December 31, 2011, January 1, 2011 and  January 2, 2010 have been derived from our audited financial statements included elsewhere in this Annual Report on Form 10-K or from prior financial statements. The following information should be read in conjunction with our financial statements and “Management’s Discussion and Analysis of Financial Condition and Results of Operations.”
                               
   
Year Ended
January 4,
2014
   
Year Ended
December 29,
2012
   
Year Ended
December 31,
2011
   
Year Ended
January 1,
2011
   
Year Ended
January 2,
2010
 
   
(In thousands, except per share data)
 
Statements of Operations Data:
                             
  Net sales
  $ 2,151,972     $ 1,907,842     $ 1,755,431     $ 1,804,418     $ 1,646,108  
  Cost of sales
    1,923,489       1,677,772       1,545,282       1,593,745       1,452,947  
  Gross profit
    228,483       230,070       210,149       210,673       193,161  
Operating expenses:
                                       
  Selling, general and administrative
    240,667       215,996       207,857       221,185       210,214  
  Net gain from terminating the Georgia-Pacific supply agreement
                            (17,772 )
 
  Depreciation and amortization
    9,117       8,565       10,562       13,365       16,984  
Total operating expenses
    249,784       224,561       218,419       234,550       209,426  
Operating (loss) income 
    (21,301 )     5,509       (8,270 )     (23,877 )     (16,265 )
Non-operating expenses (income):
                                       
  Interest expense
    28,024       28,157       30,510       33,788       32,456  
  Changes associated with the ineffective interest rate swap
                (1,676 )     (4,603 )     6,252  
  Write-off of debt issue costs
                      183       1,407  
  Other expense (income), net
    306       (7 )     501       587       519  
  Loss before (benefit from) provision for income taxes
    (49,631 )     (22,641 )     (37,605 )     (53,832 )     (56,899 )
  (Benefit from) provision for income taxes
    (9,013 )     386       962       (589 )     4,564  
Net loss
  $ (40,618 )   $ (23,027 )   $ (38,567 )   $ (53,243 )   $ (61,463 )
Basic weighted average number of common shares outstanding
    80,163       65,452       47,049       33,432       33,791  
Basic net loss per share applicable to common stock
  $ (0.51 )   $ (0.35 )   $ (0.82 )   $ (1.59 )   $ (1.82 )
Diluted weighted average number of common shares outstanding
    80,163       65,452       47,049       33,432       33,791  
Diluted net loss per share applicable to common stock
  $ (0.51 )   $ (0.35 )   $ (0.82 )   $ (1.59 )   $ (1.82 )
Dividends declared per share of common stock
  $     $     $     $     $  
 
                               
   
Year Ended
January 4,
2014
   
Year Ended
December 29,
2012
   
Year Ended
December 31,
2011
   
Year Ended
January 1,
2011
   
Year Ended
January 2,
2010
 
   
(In thousands, except per share data)
 
Other Financial Data:
                             
Capital expenditures
  $ 4,912     $ 2,826     $ 6,533     $ 4,140     $ 1,815  
EBITDA(1)
    (12,489 )     14,081       1,791       (11,099 )     200  
Net cash used in operating activities
    (39,881 )     (74,250 )     (50,332 )     (29,861 )     (19,853 )
Net cash provided by (used in) investing activities
    5,453       16,369       11,822       (3,429 )     12,636  
Net cash provided by (used in) financing activities
    34,274       58,171       29,111       18,130     $ (113,679 )
Balance Sheet Data (at end of period):
                                       
Cash and cash equivalents
  $ 5,034     $ 5,188     $ 4,898     $ 14,297     $ 29,457  
Working capital
    294,899       272,403       233,414       236,168       247,722  
Total assets
    530,246       544,736       503,915       525,019       546,846  
Total debt(2)
    406,834       383,783       341,017       384,256       341,669  
Stockholders’ (deficit) equity
    (5,898 )     (20,592 )     8,374       991     $ 50,820  
 
19

 

 

 

 
(1)
EBITDA is an amount equal to net (loss) income plus interest expense and all interest expense related items (e.g. changes associated with ineffective interest rate swap, write-off of debt issue costs, charges associated with mortgage refinancing), income taxes, and depreciation and amortization. EBITDA is presented herein because we believe it is a useful supplement to cash flow from operations in understanding cash flows generated from operations that are available for debt service (interest and principal payments) and further investment in acquisitions. However, EBITDA is not a presentation made in accordance with U.S. generally accepted accounting principles, (“GAAP”), and is not intended to present a superior measure of the financial condition from those determined under GAAP. EBITDA, as used herein, is not necessarily comparable to other similarly titled captions of other companies due to differences in methods of calculations.
   
(2)
Total debt represents long-term debt related to our mortgage and revolving credit facilities, including current maturities and capital lease obligations.
 
A reconciliation of net cash (used in) provided by operating activities, the most directly comparable GAAP measure, to EBITDA for each of the respective periods indicated is as follows (in thousands):
                               
   
Year Ended
January 4,
2014
   
Year Ended
December 29,
2012
   
Year Ended
December 31,
2011
   
Year Ended
January 1,
2011
   
Year Ended
January 2,
2010
 
Net cash used in operating activities
  $ (39,881 )   $ (74,250 )   $ (50,332 )   $ (29,861 )   $ (19,853 )
Amortization of debt issue costs
    (3,184 )     (3,746 )     (2,940 )     (1,963 )     (2,459 )
Net gain from terminating the Georgia-Pacific supply agreement
                            17,772  
Payments from terminating the Georgia-Pacific supply agreement
                      (4,706 )     (14,118 )
Vacant property charges, net
    (1,321 )     30       291       (53 )     (1,222 )
Write-off of debt issuance costs
    (119 )                        
Payments on modification of lease agreement
    300       5,875                    
Deferred income tax benefit (provision)
    5       20       25       600       (24,220 )
Intraperiod income tax allocation related to hourly pension plan
    8,894                         649  
Pension expense
    (4,591 )     (3,942 )     (1,774 )     (2,304 )     (2,511 )
Prepayment fees associated with sale of property
                            (616 )
Gain on sale of properties
    5,220       9,885       10,604             10,397  
Gain from insurance settlement
          476       1,230              
Gain from modification of lease agreement
                1,971              
Severance charges
    (5,607 )                        
Share-based compensation, excluding restructuring related
    (3,222 )     (2,797 )     (1,974 )     (3,978 )     (2,922 )
Share-based compensation, restructuring related
    (2,895 )                        
Changes in assets and liabilities
    14,901       53,987       13,218       (2,033 )     2,283  
Interest expense
    28,024       28,157       30,510       33,788       32,456  
(Benefit from) provision for income taxes
    (9,013 )     386       962       (589 )     4,564  
EBITDA
  $ (12,489 )   $ 14,081     $ 1,791     $ (11,099 )   $ 200  
 
 
The following discussion should be read in conjunction with our consolidated financial statements and related notes and other financial information appearing elsewhere in this Form 10-K. In addition to historical information, the following discussion and other parts of this Form 10-K contain forward-looking information that involves risks and uncertainties. Our actual results could differ materially from those anticipated by this forward-looking information due to the factors discussed under “Risk Factors,” “Cautionary Statement Concerning Forward-Looking Statements” and elsewhere in this Form 10-K.
 
Overview
 
Company Background
 
BlueLinx is a leading distributor of building products in North America. As of January 4, 2014, we distributed approximately 10,000 products from over 750 suppliers to service approximately 11,500 customers nationwide, including dealers, industrial manufacturers, manufactured housing producers and home improvement retailers. We operate our distribution business from sales centers in Atlanta and Denver, and our network of approximately 50 distribution centers. We distribute products in two principal categories: structural products and specialty products. Structural products include plywood, OSB, rebar and remesh, lumber and other wood products primarily used for structural support, walls and flooring in construction projects. Structural products represented approximately 44% and 42% of our fiscal 2013 and fiscal 2012 gross sales, respectively. Specialty products include roofing, insulation, moulding, engineered wood, vinyl products (used primarily in siding), outdoor living and metal products (excluding rebar and remesh). Specialty products accounted for approximately 56% and 58% of our fiscal 2013 and fiscal 2012 gross sales, respectively.
 
20

 

 

 
Industry Conditions
 
We operate in a changing environment in which new risks can emerge from time to time.  A number of factors cause our results of operations to fluctuate from period to period.  Many of these factors are seasonal or cyclical in nature. Conditions in the U.S. housing market, while improving, continue to be at historically low levels. Our operating results have declined during the past several years as they are closely tied to U.S. housing starts. Additionally, over the past several years, the mortgage markets have experienced substantial disruption due to an unprecedented number of defaults.  This disruption and the related defaults have increased the inventory of homes for sale in some markets (some markets have sold through excess inventory now) and also have caused lenders to tighten mortgage qualification criteria, which further reduces demand for new homes. While now showing signs of improvement, we expect the lower than historical average level of new housing activity will continue to negatively impact our operating results. However, along with many forecasters, we believe that we are in the beginning of a housing recovery and that U.S. housing demand will continue to improve in the long term based on population demographics and a variety of other factors.
 
As the housing market and general economic conditions continue to improve, the Company believes that additional capital would allow the Company to participate more fully in these improving conditions, and therefore we will continue to evaluate capital structure opportunities that make sense for the Company .  The Company’s sales depend heavily on the strength of national and local new residential construction and home improvement and remodeling markets, which are showing signs of improvement. The overall housing market and economy are also improving, which is expected to lead to an increase in residential construction and, to a lesser extent, in home improvement activity.  As the Company and its industry continue to recover from the historic housing market downturn, the Company expects its sales to improve and therefore its need for inventory and its accounts receivable to increase.  This increased need for working capital is expected to use some of the Company’s current excess availability under its revolving credit facilities.  
 
Facility Lease Obligation and Related Restructuring
 
During the second quarter of fiscal 2013, we announced our 2013 restructuring plan (the “2013 restructuring”), which included the realignment of headquarters resources and the strategic review of our distribution centers.  This review resulted in the Company designating five distribution centers to be sold or closed.  These distribution centers were closed or ceased operations during the third quarter of fiscal 2013.  In addition to the 2013 restructuring, we announced during the second quarter of fiscal 2013 that George R. Judd no longer would serve as President and Chief Executive Officer of the Company (the “change in executive leadership”).  In connection with the 2013 restructuring and the change in executive leadership, the Company has recognized severance related charges of $5.6 million, $2.9 million of related share-based compensation charges, a $1.3 million facility lease obligation and $1.4 million of other restructuring related charges in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013.   In addition, we recognized a $1.0 million inventory reserve charge recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss.  The majority of the remaining payments related to the 2013 restructuring will be made during fiscal 2014 and will be paid from our revolving credit facility. The anticipated impact of the 2013 restructuring is directly related to the elimination of the activity in the five closed distribution centers. This activity includes an anticipated reduction to “Selling, general, and administrative” and “Depreciation” expenses, as well as an increase to Net Income in the Consolidated Statements of Operations and Comprehensive Loss.
 
During the first quarter of fiscal 2013, we completed the transition of our Fremont, California operation to our new facility in Stockton, California.  We incurred approximately $0.8 million of transition costs related to this move which are recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss in the first nine months of fiscal 2013.
 
21

 

 

 
During the third quarter of fiscal 2011, we entered into an amendment to our corporate headquarters lease in Atlanta, Georgia related to the unoccupied 4100 building.  This amendment released us from our obligations with respect to this unoccupied space as of January 31, 2012, in exchange for a $5.0 million space remittance fee, which was paid in the first quarter of 2012.  We also paid $0.9 million in the third quarter of fiscal 2012 and paid an additional $0.3 million in the first quarter of fiscal 2014 related to contractually obligated tenant improvement reimbursement expense.  The provisions relating to the occupied 4300 building remain unchanged.  Under the existing provisions, the current term of the lease ends on January 31, 2019.  The amendment resulted in a reduction of our restructuring reserve of approximately $2.0 million, with the credit recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2011.
 
Stock Rights Offerings
 
On March 27, 2013, we concluded the 2013 Rights Offering. The 2013 Rights Offering was fully subscribed and resulted in net proceeds of approximately $38.6 million. Remaining expenses to be paid related to the 2013 Rights Offering as of January 4, 2014 totaled $0.1 million. We issued 22.9 million shares of stock to our stockholders in conjunction with the 2013 Rights Offering.
 
On July 22, 2011, we concluded a rights offering of our common stock to our stockholders (the “2011 Rights Offering”).  The 2011 Rights Offering was fully subscribed and resulted in net proceeds of approximately $58.0 million.  We issued 28.6 million shares of stock to our stockholders in conjunction with the 2011 Rights Offering.
 
Private Label Products
 
In February of 2012, we launched our own privately branded engineered product line for all geographic markets other than New England. In addition, on February 13, 2012, we entered into a distribution agreement with Weyerhaeuser Company for the sale of certain engineered wood products in the New England region.  We have subsequently increased the number of private label products that we offer to customers and currently offer several products under our private labels.
 
Selected Factors that Affect our Operating Results
 
Our operating results are affected by housing starts, mobile home production, industrial production, repair and remodeling spending and non-residential construction. We believe a substantial percentage of our sales are directly related to new home construction.
 
Our operating results also are impacted by changes in product prices. Structural products prices can vary significantly based on short-term and long-term changes in supply and demand. The prices of specialty products also can vary from time to time, although they generally are less variable than structural products.
 
The following table sets forth changes in net sales by product category, sales variances due to changes in unit volume and dollar and percentage changes in unit volume and price, in each case for fiscal 2013, fiscal 2012 and fiscal 2011:
 
Sales Revenue Variances by Product
                   
   
Fiscal 2013
   
Fiscal 2012
   
Fiscal 2011
 
   
(Dollars in millions)
 
Sales by Category
                 
Structural Products
  $ 968     $ 806     $ 705  
Specialty Products
    1,200       1,114       1,068  
Other(1)
    (16 )     (12 )     (18 )
Total Sales
  $ 2,152     $ 1,908     $ 1,755  
Sales Variances
                       
Unit Volume $ Change
  $ 161     $ 42     $ (52 )
Price/Other(1)
    83       111       3  
Total $ Change
  $ 244     $ 153     $ (49 )
Unit Volume % Change
    8.4 %     2.3 %     (2.8 )%
Price/Other(1) % Change
    4.4 %     6.4 %     0.1 %
Total % Change
    12.8 %     8.7 %     (2.7 )%
 

(1)
“Other” includes unallocated allowances and discounts.
 
22

 

 

 
The following table sets forth changes in gross margin dollars and percentages by product category, and percentage changes in unit volume growth by product, in each case for fiscal 2013, fiscal 2012 and fiscal 2011:
                   
   
Fiscal 2013
   
Fiscal 2012
   
Fiscal 2011
 
   
(Dollars in millions)
 
Gross Margin $ by Category
                 
  Structural Products
  $ 67     $ 77     $ 65  
  Specialty Products
    155       146       137  
  Other(1)
    6       7       8  
Total Gross Margin
  $ 228     $ 230     $ 210  
Gross Margin % by Category
                       
  Structural Products
    6.9 %     9.6 %     9.2 %
  Specialty Products
    12.9 %     13.1 %     12.8 %
Total Gross Margin %
    10.6 %     12.1 %     12.0 %
Unit Volume % Change by Product
                       
  Structural Products
    10.0 %     1.4 %     (15.1 )%
  Specialty Products
    7.1 %     2.9 %     7.4 %
Total Unit Volume % Change
    8.4 %     2.3 %     (2.8 )%
 

(1)
“Other” includes unallocated allowances and discounts.
 
The following table sets forth changes in net sales and gross margin by channel and percentage changes in gross margin by channel, in each case for fiscal 2013, fiscal 2012 and fiscal 2011:
                   
   
Fiscal 2013
   
Fiscal 2012
   
Fiscal 2011
 
   
(Dollars in millions)
 
Sales by Channel
                 
 Warehouse/Reload                                                                                                                    
  $ 1,755     $ 1,534     $ 1,397  
  Direct
    413       386       376  
  Other(1)
    (16 )     (12 )     (18 )
Total
  $ 2,152     $ 1,908     $ 1,755  
Gross Margin by Channel
                       
  Warehouse/Reload
  $ 198     $ 199     $ 179  
  Direct
    24       24       23  
  Other(1)
    6       7       8  
Total
  $ 228     $ 230     $ 210  
Gross Margin % by Channel
                       
  Warehouse/Reload
    11.3 %     13.0 %     12.8 %
  Direct
    5.8 %     6.2 %     6.1 %
Total
    10.6 %     12.1 %     12.0 %
 

(1)
“Other” includes unallocated allowances and discounts.
 
Fiscal Year
 

Fiscal 2013 contained 53 weeks. Fiscal 2012 and fiscal 2011 each contained 52 weeks. Our fiscal quarters are based on a 5-4-4 week period, with the exception of the fourth fiscal quarter of fiscal years containing 53 weeks, which are based on a 5-4-5 week period.

 
23

 

 

 
Results of Operations
 
Fiscal 2013 Compared to Fiscal 2012
 
The following table sets forth our results of operations for fiscal 2013 and fiscal 2012.
                         
   
 
Fiscal 2013
   
% of
Net
Sales
   
 
 
Fiscal 2012
   
% of
Net
Sales
 
   
(Dollars in thousands)
 
Net sales                                                                                                   
  $ 2,151,972       100.0 %   $ 1,907,842       100.0 %
Gross profit
    228,483       10.6 %     230,070       12.1 %
Selling, general and administrative
    240,667       11.2 %     215,996       11.3 %
Depreciation and amortization
    9,117       0.4 %     8,565       0.4 %
Operating (loss) income
    (21,301 )     (1.0 )%     5,509       0.3 %
Interest expense, net
    28,024       1.3 %     28,157       1.5 %
Other expense (income), net 
    306       0.0 %     (7 )     0.0 %
Loss before (benefit from) provision for income taxes
    (49,631 )     (2.3 )%     (22,641 )     (1.2 )%
(Benefit from) provision for income taxes
    (9,013 )     (0.4 )%     386       0.0 %
Net loss
  $ (40,618 )     (1.9 )%   $ (23,027 )     (1.2 )%
 
Net sales.  For the fiscal year ended January 4, 2014, net sales increased by 12.8%, or $244.1 million, to $2.2 billion. Sales during the fiscal year were positively impacted by a 15.5% increase in single family housing starts. Single family home construction has a significant impact on our sales. Structural sales increased by $162.2 million, or 20.1% from a year ago, as a result of a 10.1% increase in structural product prices and a 10.0% increase in unit volume.  In addition, specialty sales increased $86.0 million, or 7.7% from a year ago, as a result of a 7.1% increase in unit volume and a 0.6% increase in specialty product prices.
 
Gross profit.  Gross profit for fiscal 2013 was $228.5 million, or 10.6% of sales, compared to $230.1 million and 12.1% a year ago .   Declines in gross margin were driven by volatility in wood-based structural product pricing, primarily during the second quarter of fiscal 2013. The declines in gross margin were further impacted by a greater percentage of our sales being comprised of lower gross margin structural products. In addition, we experienced lower margin sales as we sold through inventory at the five distribution centers we closed during the third quarter of fiscal 2013.
 
Selling, general and administrative.  Selling, general and administrative expenses for fiscal 2013 were $240.7 million, or 11.2% of net sales, compared to $216.0 million, or 11.3% of net sales, during fiscal 2012. The increase in selling, general, and administrative expenses primarily was due to $11.2 million of restructuring and other charges associated with the fiscal 2013 restructuring and the change in executive leadership.  In addition, during fiscal 2013 the Company recognized $5.2 million of other gains in selling, general and administrative expenses compared to $10.4 million of other gains recognized in selling, general and administrative expenses in fiscal 2012, resulting in an increase in total selling, general, and administrative expenses of $5.2 million.  During fiscal 2013 there were also increases in third party freight, professional fees, and general maintenance and supplies of $2.3 million, $1.9 million and $1.3 million, respectively.  These changes were partially offset by a decrease in payroll of $1.2 million related to a reduced headcount from the 2013 restructuring and change in executive leadership. 
 
The other gains recorded in selling, general and administrative expenses during fiscal 2013 were comprised of $5.2 million of gains on sales of property.  In comparison, during fiscal 2012, other gains recorded in selling, general and administrative expenses were comprised of $9.9 million of gains on sales of property and a $0.5 million gain related to the insurance settlement on the Newtown, Connecticut facility. The increases to third party freight and general maintenance and supplies are largely due to the increase in revenue during fiscal 2013.  The increase in professional fees relates to certain non-recurring activities requiring the services of various professionals.  These activities included the 2013 Rights Offering, the freeze of the non-union participants in the hourly pension plan, the contribution of certain real properties to the hourly pension plan and the waiver process for the 2012 minimum required contribution of the hourly pension plan.
 
Depreciation and amortization.  Depreciation and amortization expense was $9.1 million for fiscal 2013, compared to $8.6 million for fiscal 2012. The $0.5 million increase in depreciation and amortization is primarily due to an increase in capital expenditures for mobile equipment consisting of trucks, trailers, forklifts and automobiles.
 
Operating (loss) income.  Operating loss for fiscal 2013 was $21.3 million compared to operating income of $5.5 million for fiscal 2012.  The change in operating (loss) income reflects a $1.6 million decrease in gross profit as a result of the above factors, and an increase in depreciation of $0.5 million and an increase in selling, general, and administrative expenses of $24.7 million.
24

 
 
Interest expense, net.  Interest expense for fiscal 2013 was $28.0 million compared to $28.2 million for fiscal 2012. The $0.2 million decrease is due to a decrease in interest expense related to our mortgage of $1.7 million due to a decrease in principal and a decrease in amortization of debt issuance costs of $0.6 million.  These changes were partially offset by an increase in interest related to our revolving credit facilities of $1.8 million, an increase in interest related to our capital lease obligations of $0.3 million, and expense of $0.1 million for the write-off of deferred financing costs that had been capitalized in fiscal 2013 with no similar activity during fiscal 2012. Interest expense included $3.2 million and $3.7 million of debt issue cost amortization for fiscal 2013 and fiscal 2012, respectively.  In fiscal 2013, interest expense related to our revolving credit facilities and mortgage was $11.4 million and $13.0 million, respectively.  In fiscal 2012, interest expense related to our revolving credit facilities and mortgage was $9.6 million and $14.7 million, respectively.  See “Liquidity and Capital Resources” below for a description of agreements for the revolving credit facilities and the mortgage.
 
(Benefit from) provision for income taxes.  Our effective tax rate was 18.2% and (1.7)% for fiscal 2013 and fiscal 2012, respectively.  The effective tax rate for fiscal 2013 is largely due to a full valuation allowance recorded against our tax benefit and an allocation of income tax expense to other comprehensive income (loss) for an actuarial gain associated with our hourly pension plan resulting in a benefit to continuing operations.  The main driver of the actuarial pension gain is an increase in the market value of the underlying assets and a decrease in the pension liability resulting largely from the change in the underlying discount rate assumption, which increased from 4.24% in fiscal 2012 to 5.00% in fiscal 2013.   The effective tax rate for fiscal 2012 is largely due to a full valuation allowance recorded against our tax benefit related to our fiscal 2012 loss.  The effect of the valuation allowance was offset by state income taxes, gross receipts taxes, and foreign income taxes recorded on a separate company basis partially offset by various refundable tax credits. 
 
Net loss.  Net loss for fiscal 2013 was $40.6 million, compared to $23.0 million for fiscal 2012 as a result of the factors discussed above.
 
On a per-share basis, basic and diluted loss applicable to common stockholders for fiscal 2013 each was $0.51. For fiscal 2012, basic and diluted loss per share each was $0.35.
 
Fiscal 2012 Compared to Fiscal 2011
 
The following table sets forth our results of operations for fiscal 2012 and fiscal 2011.
                                 
   
Fiscal 2012
   
% of
Net
Sales
   
 
Fiscal 2011
   
% of
Net
Sales
 
   
(Dollars in thousands)
 
Net sales                                                                                                   
  $ 1,907,842       100.0 %   $ 1,755,431       100.0 %
Gross profit
    230,070       12.1 %     210,149       12.0 %
Selling, general and administrative
    215,996       11.3 %     207,857       11.8 %
Depreciation and amortization
    8,565       0.4 %     10,562       0.6 %
Operating income (loss)
    5,509       0.3 %     (8,270 )     (0.5 )%
Interest expense, net
    28,157       1.5 %     30,510       1.7 %
Changes associated with the ineffective interest rate swap
          0.0 %     (1,676 )     (0.1 )%
Other (income) expense, net 
    (7 )     0.0 %     501       0.0 %
Loss before provision for income taxes 
    (22,641 )     (1.2 )%     (37,605 )     (2.1 )%
Provision for income taxes
    386       0.0 %     962       0.1 %
Net loss
  $ (23,027 )     (1.2 )%   $ (38,567 )     (2.2 )%
 
Net sales.  For the fiscal year ended December 29, 2012, net sales increased by 8.7%, or $152.4 million, to $1.9 billion. Sales during the fiscal year were positively impacted by a 28% increase in single family housing starts. Single family home construction has a significant impact on our sales. Structural sales increased by $101.2 million, or 14.3% from a year ago, as a result of a 12.9% increase in structural product prices and a 1.4% increase in unit volume.  In addition, specialty sales increased $45.8 million, or 4.3% from a year ago, as a result of a 1.4% increase in specialty product prices and a 2.9% increase in unit volume.
 
25

 
 
Gross profit.  Gross profit for fiscal 2012 was $230.1 million, or 12.1% of sales, compared to $210.1 million, or 12.0% of sales, in fiscal 2011. The increase in gross profit dollars compared to fiscal 2011 was driven primarily by the factors noted above, coupled with an improvement in gross margin percentage due to the Company’s efforts to improve gross margin.
 
Selling, general and administrative.  Selling, general and administrative expenses for fiscal 2012 were $216.0 million, or 11.3% of net sales, compared to $207.9 million, or 11.8% of net sales, during fiscal 2011. The increase in selling, general, and administrative expenses is primarily due to a reduction in other gains recorded in selling, general and administrative expenses in 2012 when compared to 2011 coupled with increases in certain variable costs and pension expense.  During 2012 the Company recognized $10.4 million of other gains in selling, general and administrative expenses compared to $14.0 million of other gains recognized in selling, general and administrative expenses in fiscal 2011, both of which were recorded in selling, general and administrative expenses, resulting in an increase in total selling, general, and administrative expenses of $3.6 million.  In addition, during fiscal 2012 there were increases in pension expense, commissions, stock compensation and other salary based incentives of $2.1 million, $0.7 million, $0.8 million and $1.7 million, respectively.  These increases were partially offset by a decrease in payroll of $2.8 million. 
 
The other gains recorded in selling, general and administrative expenses during fiscal 2012 were comprised of $9.9 million of gains on property sales and a $0.5 million gain related to the insurance settlement on the Newtown, Connecticut facility.   In comparison, during fiscal 2011, other gains recorded in selling, general and administrative expenses were comprised of $10.6 million of gains on property sales, a $2.0 million gain related to the modification of the lease agreement for our headquarters in Atlanta, Georgia and a $1.4 million gain related to the insurance settlement on the Newtown, Connecticut facility. The increase in pension expense was due to changes in the underlying pension valuation assumptions.  The increases in incentives and commissions were largely attributable to higher sales activity in fiscal 2012.   The $2.8 million decrease in payroll was due to reduction in force activities occurring in fiscal 2011, which resulted in $1.4 million in severance charges in fiscal 2011.  We did not materially increase headcount during fiscal 2012 or perform any material restructuring.
 
Depreciation and amortization.  Depreciation and amortization expense was $8.6 million for fiscal 2012, compared to $10.6 million for fiscal 2011. The $2.0 million decrease in depreciation and amortization is primarily related to a portion of our property and equipment becoming fully depreciated during fiscal 2012 and replenishment of fixed assets occurring at a slower rate.
 
Operating income (loss).  Operating income for fiscal 2012 was $5.5 million compared to an operating loss of $8.3 million for fiscal 2011.  The change in operating income (loss) reflects a $19.9 million increase in gross profit as a result of the above factors, and a decrease in depreciation of $2.0 million.  This change was partially offset by an increase in selling, general, and administrative expenses of $8.1 million.
 
Interest expense, net.  Interest expense for fiscal 2012 was $28.2 million compared to $30.5 million for fiscal 2011. The $2.3 million decrease is due to a decrease of $2.2 million in fees related to the interest rate swap due to the expiration of the interest rate swap during fiscal 2011 and a decrease in interest expense related to our mortgage of $2.3 million due to a decrease in principal.  These changes were partially offset by an increase in interest related to our revolving credit facilities of $1.4 million and an increase in debt issuance cost amortization of $0.8 million.  Interest expense included $3.7 million and $2.9 million of debt issue cost amortization for fiscal 2012 and fiscal 2011, respectively.  In fiscal 2012, interest expense related to our revolving credit facilities and mortgage was $9.6 million and $14.7 million, respectively.  In fiscal 2011, interest expense related to our revolving credit facilities and mortgage was $10.3 million and $17.0 million, respectively.  See “Liquidity and Capital Resources” below for a description of agreements for the revolving credit facilities and the mortgage.
 
Changes associated with the ineffective interest rate swap. Changes associated with the ineffective interest rate swap totaled $1.7 million of income in fiscal 2011.  As the effective interest rate swap terminated in March of 2011, there was no comparable activity in the fiscal 2012.
 
Provision for income taxes.  Our effective tax rate was (1.7)% and (2.5)% for fiscal 2012 and fiscal 2011, respectively. The effective tax rates for fiscal 2012 and 2011 are largely due to a full valuation allowance recorded against our tax benefit related to our fiscal 2012 loss and our 2011 loss, respectively. The effect of the valuation allowance was offset by state income taxes, gross receipts taxes, and foreign income taxes recorded on a separate company basis partially offset by various refundable tax credits.
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Net loss.  Net loss for fiscal 2012 was $23.0 million, compared to $38.6 million for fiscal 2011 as a result of the factors discussed above.
 
On a per-share basis, basic and diluted loss applicable to common stockholders for fiscal 2012 was $0.35. For fiscal 2011, basic and diluted loss per share was $0.82.
 
Seasonality
 
We are exposed to fluctuations in quarterly sales volumes and expenses due to seasonal factors. These seasonal factors are common in the building products distribution industry. The first and fourth quarters are typically our slowest quarters due to the impact of poor weather on the construction market. Our second and third quarters are typically our strongest quarters, reflecting a substantial increase in construction due to more favorable weather conditions. Our working capital and accounts receivable and payable generally peak in the third quarter, while inventory generally peaks in the second quarter in anticipation of the summer building season.
 
Liquidity and Capital Resources
 
We depend on cash flow from operations and funds available under our revolving credit facilities to finance working capital needs and capital expenditures. We had approximately $44.5 million of excess availability under our U.S. revolving credit facility and $1.3 million under our Canadian revolving credit facility, described further below, as of January 4, 2014. As of January 4, 2014, under the U.S. revolving credit facility, we are required to maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the “Excess Availability Threshold”).  If we fail to maintain this minimum excess availability, the U.S. revolving credit facility requires us to (i) maintain certain financial ratios, which we would not meet with current operating results, and (ii) limit our capital expenditures, which would have a negative impact on our ability to finance working capital needs and capital expenditures.  In the event that excess availability falls below $37.1 million or the amount equal to 15% of the lesser of the borrowing base or $447.5 million, the U.S. revolving credit facility gives the lenders the right, but not the obligation, to dominion over our bank accounts.  This would not make the underlying debt callable by the lender and may not change our ability to borrow on the U.S. revolving credit facility.  However, we would be required to reclassify the “Long-term debt” to “Current maturities of long-term debt” on our Consolidated Balance Sheet.  For additional information regarding our financial covenants under our revolving credit facilities, see the Risk Factors “The instruments governing our indebtedness contain various covenants limiting the discretion of our management in operating our business” set forth under Item 1.A. Risk Factors.
 
Excess availability may decrease while our industry and the Company continue to participate in the recovery of the housing market. While the Company believes that the amounts currently available from its revolving credit facilities and other sources will be sufficient to fund its routine operations and capital requirements for at least the next 12 months, the Company believes that additional capital will provide it with a stronger liquidity position and allow it to more fully participate in the improving housing market.
 
On March 27, 2013, we concluded the 2013 Rights Offering. The 2013 Rights Offering was fully subscribed and resulted in net proceeds of approximately $38.6 million. Remaining expenses to be paid related to the 2013 Rights Offering as of January 4, 2014 totaled $0.1 million. We issued 22.9 million shares of stock to our stockholders in conjunction with the 2013 Rights Offering.
 
On July 22, 2011, we concluded an offering of our common stock to our stockholders (the “2011 Rights Offering”).  The 2011 Rights Offering was fully subscribed and resulted in net proceeds of approximately $58.0 million.  We issued 28.6 million shares of stock to our stockholders in conjunction with the 2011 Rights Offering.
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The following tables indicate our working capital and cash flows for the periods indicated.
                 
   
January 4,
2014
   
December 29,
2012
 
   
(Dollars in thousands)
 
Working capital
  $ 294,899     $ 272,403  
 
                         
   
Year Ended
January 4,
2014
   
Year Ended
December 29,
2012
   
Year Ended
December 31,
2011
 
         
(Dollars in thousands)
       
Cash flows used in operating activities
  $ (39,881 )   $ (74,250 )   $ (50,332 )
Cash flows provided by investing activities
    5,453       16,369       11,822  
Cash flows provided by financing activities
    34,274       58,171       29,111  
 
Working Capital
 
Working capital increased by $22.5 million to $294.9 million at January 4, 2014 from $272.4 million at December 29, 2012. The increase in working capital reflected a decrease in accounts payable and bank overdrafts of $17.5 million and $16.0 million, respectively, primarily due to the timing of payments. The decreases were partially offset by an increase in other current liabilities of $2.0 million and decreases in receivables and inventories of $7.2 million and $6.5 million, respectively. The increase in other current liabilities was primarily attributable to severance and lease facility reserves increasing year over year as the company went through restructuring in fiscal 2013 that resulted in a reduction in force and the closing of five facilities. The change in receivables is due to a decrease in daily sales outstanding over the prior year. The change in inventories is due to our continued focus on managing our inventory levels and lower anticipated demand in the first quarter of 2014.
 
Operating Activities
 
During fiscal 2013, cash flows used in operating activities totaled $39.9 million. The primary driver of cash flows used in operations was a net loss, as adjusted for non-cash charges of $24.7 million, a decrease in accounts payable of $17.6 million, partially offset by a decrease in receivables and inventories of $7.2 million and $6.5 million, respectively. Refer to the Working Capital section above for further discussion of these items.
 
During fiscal 2012, cash flows used in operating activities totaled $74.3 million. The primary driver of cash flows used in operations was a net loss, as adjusted for non-cash charges of $14.4 million, an increase in receivables of $18.6 million and an increase in inventories of $44.5 million. In addition, we made payments totaling $5.9 million associated with the 2011 amendment to our lease agreement in Atlanta, Georgia related to the unoccupied 4100 building. These changes were partially offset by an increase in accounts payable of $9.1 million.
 
During fiscal 2011, cash flows used in operating activities totaled $50.3 million. The primary driver of cash flows used in operations was a net loss, as adjusted for non-cash charges of $37.1 million, an increase in receivables of $19.7 million, partially offset by a decrease in inventories of $2.7 and an increase in accounts payable of $6.0 million.
 
Investing Activities
 
During fiscal 2013, cash flows provided by investing activities totaled $5.5 million, compared to $16.4 million in fiscal 2012.
 
During fiscal 2013, fiscal 2012 and fiscal 2011, our expenditures for property and equipment were $4.9 million, $2.8 million and $6.5 million, respectively. These expenditures were primarily to purchase information technology, leasehold improvements, and certain machinery and equipment. During fiscal 2013 we purchased an additional warehouse for our facility in Elkhart, Indiana. During fiscal 2011 we purchased a replacement warehouse facility in Nashville, Tennessee.  We estimate that capital expenditures for fiscal 2014 will be approximately $6.5 million.  The majority of our capital expenditures for fiscal 2013 and 2012 have been and likely will continue to be paid from our revolving credit facility. We intend to purchase additional vehicles to replenish the fleet during the fiscal 2014 and anticipate financing these tractors with a third party leasing company. 
 
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Proceeds from the disposition of property and equipment were $10.4 million, $19.2 million and $18.4 million during fiscal 2013, fiscal 2012 and fiscal 2011, respectively. During fiscal 2013, the proceeds of $10.4 million included $9.4 million related to the sale of certain real properties classified as held for sale assets included in “Other current assets” on our Consolidated Balance Sheets. During fiscal 2012, the proceeds of $19.2 million included $17.8 million related to the sale of certain real properties classified as held for sale assets included in “Other current assets” on our Consolidated Balance Sheets. During fiscal 2011, the proceeds of $18.4 million included $9.2 million related to the sale of certain real properties classified as held for sale assets included in “Other current assets” on our Consolidated Balance Sheets.
 
Financing Activities
 
Net cash provided by financing activities was $34.3 million during fiscal 2013, compared to $58.2 million during fiscal 2012. The net cash provided by financing activities in fiscal 2013 primarily reflected net borrowings on our revolving credit facility of $39.8 million and the receipt of proceeds from the 2013 Rights Offering, netted with expenses related to that offering, of $38.7 million. These cash inflows were offset by payments of principal on our mortgage of $19.0 million, payments for debt financing costs of $2.9 million, a $3.2 million decrease related to the repurchase of shares to satisfy employee tax withholding and a decrease in bank overdrafts of $16.0 million.
 
The net cash provided by financing activities in fiscal 2012 of $58.2 million primarily reflected net borrowings on our revolving credit facility of $76.9 million, increases in bank overdrafts of $13.0 million and $10.0 million related to the decrease in restricted cash on our mortgage.  These cash inflows were offset by payments of principal on our mortgage of $37.3 million and payments for debt financing costs of $1.7 million.
 
The net cash provided by financing activities in fiscal 2011 of $29.1 million primarily reflected the receipt of proceeds from the 2011 Rights Offering, netted with expenses related to that offering, of $58.5 million and cash provided by changes in restricted cash related to our mortgage of $20.6 million.  These cash inflows were offset by additional repayments on our revolving credit facilities of $2.7 million (net of borrowings) and payments of principal on our mortgage of $42.4 million.
 
Debt and Credit Sources
 
Our U.S. revolving credit facility is with several lenders including Wells Fargo Bank, National Association, successor by merger to Wachovia Bank, National Association, dated August 4, 2006, as amended.  The U.S. revolving credit facility has a final maturity of April 15, 2016 and maximum available credit of $447.5 million.  The U.S. revolving credit facility also includes an additional $75 million uncommitted accordion credit facility, which permits us to increase the maximum available credit up to $522.5 million.
 
On June 28, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted. The most significant of the changes included in the amendment is the addition of PNC Bank, National Association as a lender and their additional loan commitment of $25.0 million, which increased the maximum availability under the U.S. revolving credit facility to $447.5 million.  The terms of this amended agreement are described below.  In conjunction with this amendment, we incurred $0.1 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 29, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted.  The most significant of the changes included in the amendment are extending the final maturity of our U.S. revolving credit facility, increasing the maximum available credit under the facility and adjusting the excess availability threshold calculation.  In conjunction with this amendment, we incurred $2.8 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 27, 2013, we concluded the 2013 Rights Offering. The 2013 Rights Offering was fully subscribed and resulted in net proceeds of approximately $38.6 million. Remaining expenses to be paid related to the 2013 Rights Offering as of January 4, 2014 totaled $0.1 million. We issued 22.9 million shares of stock to our stockholders in conjunction with the 2013 Rights Offering.
 
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On July 22, 2011, we concluded the 2011 Rights Offering.  The 2011 Rights Offering was fully subscribed and resulted in net proceeds of approximately $58.0 million.  We issued 28.6 million shares of stock to our stockholders in conjunction with the 2011 Rights Offering.
 
As of January 4, 2014, we had outstanding borrowings of $207.9 million and excess availability of $44.5 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 3.7% at January 4, 2014.   As of December 29, 2012, we had outstanding borrowings of $169.5 million and excess availability of $86.0 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 4.1% at December 29, 2012.  As of January 4, 2014 and December 29, 2012, we had outstanding letters of credit totaling $3.6 million and $4.5 million, respectively, for the purposes of securing collateral requirements under casualty insurance programs and for guaranteeing lease and certain other obligations. The $3.6 million in outstanding letters of credit as of January 4, 2014, does not include an additional $1.5 million fully collateralized letter of credit securing certain insurance obligations that was issued outside of the U.S. revolving credit facility.
 
As of January 4, 2014, our U.S. revolving credit facility, as amended, contains customary negative covenants and restrictions for asset based loans, including a requirement that we maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the Excess Availability Threshold.  The fixed charge coverage ratio is calculated as EBITDA divided by the sum of cash payments for income taxes, interest expense, cash dividends, principal payments on debt, and capital expenditures.  EBITDA is defined, for purposes of the U.S. revolving credit facility, as BlueLinx Corporation’s net income before interest and tax expense, depreciation and amortization expense, and other non-cash charges.  The fixed charge coverage ratio requirement only applies to us when excess availability under our amended U.S. revolving credit facility is less than the Excess Availability Threshold on any date. As of January 4, 2014, and through the time of the filing of this Form 10-K, we were in compliance with all covenants under the U.S. revolving credit facility.  We are required to maintain the Excess Availability Threshold in order to avoid being required to meet certain financial ratios and triggering additional limits on capital expenditures.  Our lowest level of fiscal month-end availability in the last three years as of January 4, 2014, was $44.5 million.  We do not anticipate our excess availability in fiscal 2014 will drop below the Excess Availability Threshold.  Should our excess availability fall below the Excess Availability Threshold on any date, however, we would not meet the required fixed charge coverage ratio covenant with our current operating results.
 
 In the event that excess availability falls below $37.1 million or the amount equal to 15% of the lesser of the borrowing base or $447.5 million, the U.S. revolving credit facility gives the lenders the right to dominion over our bank accounts.  This would not make the underlying debt callable by the lender and may not change our ability to borrow on the U.S. revolving credit facility.  However, we would be required to reclassify the “Long-term debt” to “Current maturities of long-term debt” on our Consolidated Balance Sheet.  In addition, we would be required to maintain a springing lock-box arrangement where customer remittances go directly to a lock-box maintained by our lenders and then are forwarded to our general bank accounts.  Our amended U.S. revolving credit facility does not contain a subjective acceleration clause, which would allow our lenders to accelerate the scheduled maturities of our debt or to cancel our agreement.
 
Our subsidiary BlueLinx Canada has a revolving credit agreement with Canadian Imperial Bank of Commerce (as successor to CIBC Asset-Based Lending Inc.) and the other signatories thereto, as lender, administrative agent and collateral agent, dated August 12, 2011, as amended.
 
As of January 4, 2014, we had outstanding borrowings of $3.3 million and excess availability of $1.3 million under the terms of our Canadian revolving credit facility.  As of December 29, 2012, we had outstanding borrowings of $1.9 million and excess availability of $2.0 million under the terms of our Canadian revolving credit facility.  The interest rate on the Canadian revolving credit facility was 4.0% at January 4, 2014 and December 29, 2012.  The Canadian revolving credit facility contains customary covenants and events of default for asset-based credit agreements of this type, including the requirement for BlueLinx Canada to maintain a minimum adjusted tangible net worth of $3.9 million and for that entity’s capital expenditures not to exceed 120% of the amount budgeted in a given year.  As of January 4, 2014, and through the time of the filing of this Form 10-K, we were in compliance with all covenants under this facility
 
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Under the terms of our mortgage, we are required to transfer certain funds to be held as collateral. On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement without incurring a prepayment premium from cash currently held as collateral under the mortgage agreement. In addition, on the last business day of each calendar quarter, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement are used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million. Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, is released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014. All funds released pursuant to these provisions may only be used by the Company to pay for usual and customary operating expenses. During the periods described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement. Approximately $6.3 million of funds held in collateral were used to prepay indebtedness under the mortgage agreement during fiscal 2013. Approximately $2.7 million of cash held in collateral were released to the Company during fiscal 2013 to pay for usual and customary operating expenses. We expect to transfer approximately $13.2 million as collateral during the next twelve month period, approximately $7.3 million of which will be remitted to us on a quarterly basis to pay for usual and customary operating expenses. In conjunction with the modification of our mortgage agreement we incurred approximately $0.3 million in fees that were capitalized and are being amortized over the remaining term of the mortgage.
 
During the third quarter of fiscal 2013, we sold our sales center in Denver, Colorado and increased the restricted cash related to our mortgage by $8.4 million, which represents the allocated mortgage related to the property.  During the fourth quarter of fiscal 2013, we sold our Sioux Falls, South Dakota facility and increased the restricted cash related to our mortgage by $1.9 million, which represents the allocated mortgage related to the property.  This restricted cash for both locations was used to pay down the outstanding principal of the mortgage in the fourth quarter of fiscal 2013.  During the first quarter of fiscal 2012, we sold certain parcels of excess land. As a result of the sale of one of these parcels, we increased the amount of restricted cash required to be held in connection with our mortgage by $0.3 million. In addition, during the third quarter of fiscal 2012, we sold our facility in Fremont, California and increased the restricted cash related to our mortgage by $12.8 million.  This restricted cash was used to pay down the mortgage in the fourth quarter of fiscal 2012.
 
We intend to ensure that we have a solid capital structure to provide runway for the Company as our markets recover. We will continue to accelerate our emphasis on our working capital metrics and management. But growing markets typically necessitate increased working capital , and we want to have the flexibility to take advantage of opportunities as the market recovery occurs. We will continue to evaluate capital structure opportunities that make sense for the Company .
 
Contractual Commitments.  The following table represents our contractual commitments associated with our debt and other obligations disclosed above as of the fiscal year end of each year set forth below (in thousands).
                                                         
   
2014
   
2015
   
2016
   
2017
   
2018
   
Thereafter
   
Total
 
Revolving credit facilities(1)
  $     $     $ 211,213     $     $     $     $ 211,213  
Mortgage indebtedness
    2,761       2,744       181,438                         186,943  
Interest payments on our revolving credit facilities(2)
    7,808       7,808       2,252                         17,868  
Interest payments on our mortgage(3)
    12,969       11,776       5,805                         30,550  
Subtotal
    23,538       22,328       400,708                         446,574  
Operating leases(4)
    4,391       3,968       4,036       4,060       3,498       10,060       30,013  
Capital leases(5)
    1,753       1,847       1,746       1,342       1,406       604       8,698  
Interest payments on our capital leases(6)
    509       399       273       186       95       20       1,482  
Letters of credit(7)
    3,585                                     3,585  
Letters of credit(8)
    1,505                                     1,505  
Total
  $ 35,281     $ 28,542     $ 406,763     $ 5,588     $ 4,999     $ 10,684     $ 491,857  
 

(1)
Payments for both the U.S. and Canadian revolving credit facilities are included.
   
(2)
Interest on the revolving credit facilities is variable, based on Libor or prime plus the applicable margin.  The interest rate on the U.S. revolving credit facility and the Canadian revolving credit facility was 3.7% and 4.0%, respectively, at January 4, 2014. The final maturity date on our U.S. revolving credit facility and Canadian revolving credit facility is April 15, 2016.
   
(3)
Interest payments on the mortgage are based on a fixed rate of 6.35%.
   
(4)
We lease various facilities and vehicles under non-cancelable operating leases.
   
(5)
We lease certain other fixed assets under non cancelable leases that we have determined to be capital leases.

 

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(6)
Includes imputed interest based on individual capital lease agreements.
   
(7)
Letters of credit included under the credit facilities.
   
(8)
Letters of credit not included under the credit facilities.
 
Purchase orders entered into in the ordinary course of business are excluded from the above table. Amounts for which we are liable under purchase orders are reflected on our Consolidated Balance Sheets (to the extent entered into prior to the end of the applicable period) as accounts payable and accrued liabilities.
 
Off-Balance Sheet Arrangements. As of January 4, 2014, we did not have any material off-balance sheet arrangements.
 
Critical Accounting Policies
 
The preparation of our consolidated financial statements and related disclosures in conformity with U.S. generally accepted accounting principles requires our management to make judgments and estimates that affect the amounts reported in our consolidated financial statements and accompanying notes. Our management believes that we consistently apply these judgments and estimates and the consolidated financial statements and accompanying notes fairly represent all periods presented. However, any differences between these judgments and estimates and actual results could have a material impact on our Consolidated Statements of Operations and financial position. Critical accounting estimates, as defined by the Securities and Exchange Commission (“SEC”), are those that are most important to the portrayal of our financial condition and results of operations and require our management’s most difficult and subjective judgments and estimates of matters that are inherently uncertain. Our critical accounting estimates include those regarding (1) revenue recognition; (2) allowance for doubtful accounts and related reserves; (3) inventory valuation; (4) impairment of long-lived assets; (5) income taxes; (6) defined benefit pension plans; and (7) stock-based compensation. Our significant accounting policies are more fully described in the Notes to the Consolidated Financial Statements.
 
Revenue Recognition
 
We recognize revenue when the following criteria are met: persuasive evidence of an agreement exists, delivery has occurred or services have been rendered, our price to the buyer is fixed and determinable and collectability is reasonably assured. Delivery is not considered to have occurred until the customer takes title and assumes the risks and rewards of ownership. The timing of revenue recognition is largely dependent on shipping terms. Revenue is recorded at the time of shipment for terms designated as FOB (free on board) shipping point. For sales transactions designated FOB destination, revenue is recorded when the product is delivered to the customer’s delivery site.
 
All revenues are recorded at gross. The key indicators used to determine when and how revenue is recorded are as follows:
 
 
We are the primary obligor responsible for fulfillment and all other aspects of the customer relationship.
 
 
Title passes to BlueLinx, and we carry all risk of loss related to warehouse, reload inventory and inventory shipped directly from vendors to our customers.
 
 
We are responsible for all product returns.
 
 
We control the selling price for all channels.
 
 
We select the supplier.
 
 
We bear all credit risk.
 
In addition, we provide inventory to certain customers through pre-arranged agreements on a consignment basis. Customer consigned inventory is maintained and stored by certain customers; however, ownership and risk of loss remains with us. When the inventory is sold by the customer, we recognize revenue on a gross basis.
 
All revenues recognized are net of trade allowances, cash discounts and sales returns. Cash discounts and sales returns are estimated using historical experience. Trade allowances are based on the estimated obligations and historical experience. Adjustments to earnings resulting from revisions to estimates on discounts and returns have been insignificant for each of the reported periods.
 
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Allowance for Doubtful Accounts and Related Reserves
 
We evaluate the collectability of accounts receivable based on numerous factors, including past transaction history with customers and their creditworthiness. We maintain an allowance for doubtful accounts for each aging category on our aged trial balance based on our historical loss experience. This estimate is periodically adjusted when we become aware of specific customers’ inability to meet their financial obligations (e.g., bankruptcy filing or other evidence of liquidity problems). As we determine that specific balances will ultimately be uncollectible, we remove them from our aged trial balance. Additionally, we maintain reserves for cash discounts that we expect customers to earn as well as expected returns.
 
Inventory Valuation
 
Inventories are carried at the lower of cost or market. The cost of all inventories is determined by the moving average cost method. We include all charges directly or indirectly incurred in bringing inventory to its existing condition and location. We evaluate our inventory value at the end of each quarter to ensure that first quality, actively moving inventory, when viewed by category, is carried at the lower of cost or market.
 
Additionally, we maintain a reserve for the estimated value impairment associated with damaged, excess and obsolete inventory. The damaged, excess and obsolete reserve generally includes discontinued items or inventory that has turn days in excess of 270 days, excluding new items during their product launch.
 
Impairment of Long-Lived Assets
 
Long-lived assets, including property and equipment and intangible assets with definite useful lives, are reviewed for possible impairment whenever events or circumstances indicate that the carrying amount of an asset may not be recoverable.
 
We consider whether there were indicators of potential impairment on a quarterly basis. Indicators of impairment include current period losses combined with a history of losses, management’s decision to exit a facility, reductions in the fair market value of real properties and changes in other circumstances that indicate the carrying amount of an asset may not be recoverable.
 
Our evaluation of long-lived assets is performed at the lowest level of identifiable cash flows, which is generally the individual distribution facility. In the event of indicators of impairment, the assets of the distribution facility are evaluated by comparing the facility’s undiscounted cash flows over the estimated useful life of the asset, which ranges between 5-40 years, to its carrying value. If the carrying value is greater than the undiscounted cash flows, an impairment loss is recognized for the difference between the carrying value of the asset and the estimated fair market value. Impairment losses are recorded as a component of “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .
 
Our estimate of undiscounted cash flows is subject to assumptions that affect estimated operating income at a distribution facility level. These assumptions are related to future sales, margin growth rates, economic conditions, market competition and inflation. In the event that undiscounted cash flows do not exceed the carrying value of a facility, our estimates of fair market value are generally based on market appraisals and our experience with related market transactions. We use a two year average of cash flows based on 2013 EBITDA and 2014 projected EBITDA, which includes a growth factor assumption, to estimate undiscounted cash flows. These assumptions used to determine impairment are considered to be level 3 measurements in the fair value hierarchy as defined in Note 13 to the Consolidated Financial Statements.
 
While operating results have declined during the past several years as they are closely tied to U.S. housing starts, during fiscal 2012 we began to see signs of a housing recovery, and our results have improved; however our sales are still below normal levels. To the extent that reductions in volume and operating income have resulted in impairment indicators, in all cases our carrying values continue to be less than our projected undiscounted cash flows. As such, we have not identified significant known trends impacting the fair value of long-lived assets to an extent that would indicate impairment.
 
During the first quarter of fiscal 2011 our Newtown, CT facility was damaged due to severe winter weather. As a result of the damage to the facility and its contents, we have received approximately $5.8 million in proceeds from the insurance company comprised of $2.2 million related to the damaged building, $2.4 million related to damaged and destroyed inventory and $1.2 million related to the recovery of additional expenses incurred as a result of the damage. Cash received related to the damaged building was classified as an investing cash inflow in our Consolidated Statement s of Cash Flows and used to reduce the principal of our mortgage. All other cash inflows related to the insurance settlement were classified as operating cash flows in our Consolidated Statement s of Cash Flows. The majority of the remaining cash inflows were used to fund costs incurred related to the Newtown loss. We recognized a $1.4 million gain in fiscal 2011 of which $1.2 million related to the damaged building and $0.2 million related to the recovery of gross margin on the inventory. We recorded the gain at the time that the recovery of the minimum expected proceeds under our insurance policy became probable and was estimable. This gain was recorded in “Selling, general and administrative expenses” in our Consolidated Statement s of Operations and Comprehensive Loss .
 
33

 
 
Income Taxes
 
The federal statutory income tax rate was 35%. Our (benefit from) provision for income taxes is reconciled to the federal statutory amount as follows:
                   
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Benefit from income taxes computed at the federal statutory tax rate
  $ (17,371 )   $ (7,924 )   $ (13,162 )
Benefit from state income taxes, net of federal benefit
    (1,991 )     (866 )     (1,296 )
Valuation allowance change
    19,445       8,820       14,498  
Nondeductible items
    270       484       806  
Benefit from allocation of income taxes to other comprehensive income (loss)
    (8,726 )            
Other
    (640 )     (128 )     116  
(Benefit from) provision for income taxes
    (9,013 )   $ 386     $ 962  
 
Our income before provision for income taxes for our Canadian operations was $0.1 million, $0.1 million and $0.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years. The NOL carryovers are fully valued.
 
For fiscal 2013, we recognized tax benefit of $9.0 million. The benefit recognized for the year is primarily comprised of $8.7 million of deferred income tax benefit resulting from the allocation of income tax expense to other comprehensive income (loss). In addition, we recognized an income tax benefit related to the reversal of a $0.6 million reserve for an uncertain tax position due to the expiration of the statue of limitations. Finally, we recognized current state income tax expense of $0.3 million related to earnings generated on a separate company basis.
 
For fiscal 2012, we recognized tax expense of $0.4 million. The expense recognized for the year is primarily comprised of $0.3 million for current state income tax expense related to earnings generated on a separate company basis.
 
For fiscal 2011, we recognized tax expense of $1.0 million. The expense recognized for the year is primarily comprised of $0.8 million for current state income tax expense related to earnings generated on a separate company basis and $0.3 million of current income tax expense resulting from foreign income taxes.
 
In accordance with the intraperiod tax allocation provisions of U.S. GAAP, we are required to consider all items (including items recorded in other comprehensive income) in determining the amount of tax benefit that results from a loss from continuing operations that should be allocated to continuing operations. In fiscal 2013, a non-cash tax benefit on the loss from continuing operations of $8.7 million, which was offset in full by income tax expense, was recorded in other comprehensive income. In fiscal 2012 and fiscal 2011, there was no intraperiod tax allocation due to the fact that there was a loss in other comprehensive income for the period. While the income tax benefit from continuing operations is reported in our Consolidated Statements of Operations and Comprehensive Loss, the income tax expense on other comprehensive income is recorded directly to accumulated other comprehensive loss, which is a component of stockholders’ equity.
 
Our financial statements contain certain deferred tax assets which have arisen primarily as a result of tax benefits associated with the loss before income taxes incurred, as well as net deferred income tax assets resulting from other temporary differences related to certain reserves, pension obligations and differences between book and tax depreciation and amortization. We record a valuation allowance against our net deferred tax assets when we determine that based on the weight of available evidence, it is more likely than not that our net deferred tax assets will not be realized.
 
34

 
 
In our evaluation of the weight of available evidence, we considered recent reported losses as negative evidence which carried substantial weight. Therefore, we considered evidence related to the four sources of taxable income, to determine whether such positive evidence outweighed the negative evidence associated with the losses incurred. The positive evidence considered included:
 
 
taxable income in prior carryback years, if carryback is permitted under the tax law;
 
 
future reversals of existing taxable temporary differences;
 
 
tax planning strategies; 
 
 
future reversals of existing taxable temporary differences; and
 
 
future taxable income exclusive of reversing temporary differences and carryforwards.
 
In estimating future taxable income, we develop assumptions including the amount of future state and federal pretax operating and non-operating income, the reversal of temporary differences and the implementation of feasible prudent tax planning strategies. These assumptions require significant judgment about the forecasts of future taxable income. Substantial changes in these assumptions could result in changes in our judgments around our ability to realize future tax benefit.
 
Defined Benefit Pension Plans
 
We sponsor several defined benefit pension plans covering substantially all of our hourly employees. Our estimates of the amount and timing of our future funding obligations for our defined benefit pension plans are based upon various assumptions. These assumptions include, but are not limited to, the discount rate, projected return on plan assets, compensation increase rates, mortality rates, retirement patterns, and turnover rates. In addition, the amount and timing of our pension funding obligations can be influenced by funding requirements that are established by the Employee Retirement Income and Security Act of 1974 (“ERISA”), the Pension Protection Act, Congressional Acts, or other governing bodies.
 
We recognize the unfunded status (i.e., the difference between the fair value of plan assets and the projected benefit obligations) of the hourly pension plan in our Consolidated Balance Sheets, with a corresponding adjustment to accumulated other comprehensive loss. On January 4, 2014, we measured the fair value of our plan assets and benefit obligations. As of January 4, 2014, and December 29, 2012, the net unfunded status of our benefit plan was $27.9 million and $46.6 million, respectively. These amounts were included in “Other non-current liabilities” on our Consolidated Balance Sheets. The net adjustment to other comprehensive loss for fiscal 2013, fiscal 2012, and fiscal 2011 was $13.9 million gain ($22.8 million gain, net of tax of $8.9 million), $8.2 million loss ($8.2 million loss, net of tax, offset by a valuation allowance), $15.0 million loss ($15.0 million loss, net of tax, offset by a valuation allowance), respectively, which represents the net unrecognized actuarial (loss) gain and unrecognized prior service cost.
 
The portion of estimated net loss for the hourly pension plan that is expected to be amortized from accumulated other comprehensive loss into net periodic cost over the next fiscal year is $0.8 million. The expected amortization of prior service cost recognized into net periodic cost over the next fiscal year is immaterial.
 
The Company’s minimum required contribution for plan year 2012 was $3.2 million.  In an effort to preserve additional cash for operations, we applied for a waiver from the IRS for our 2012 minimum required contribution.  Although the Company’s outside counsel has been notified by the IRS that its waiver request has been preliminarily approved and that the IRS is in the process of finalizing the waiver request, no assurances can be provided that the waiver request will be granted until the Company receives final approval from the IRS.  If we are granted the requested waiver, our contributions for 2012 will be amortized over the following five years, increasing our future minimum required contributions. 
 
The Company’s minimum required contribution for plan year 2013 was estimated to be $6.0 million, assuming we receive the requested waiver. During the second quarter of fiscal 2013, we contributed certain qualifying employer real property to the hourly pension plan. The properties, including certain land and buildings, are located in Charleston, S.C. and Buffalo, N.Y., and were valued at approximately $6.8 million by independent appraisals prior to the contribution. The contribution was recorded by the hourly pension plan at the fair market value of $6.8 million. We are leasing back the contributed properties for an initial term of 20 years with two five-year extension options and continue to use the properties in our distribution operations. Each lease provides us a right of first refusal on any subsequent sale by the hourly pension plan and a repurchase option. The hourly pension plan engaged an independent fiduciary who evaluated the transaction on behalf of the hourly pension plan, negotiated the terms of the property contribution and the leases, and also manages the properties on behalf of the hourly pension plan. Depending on whether the 2012 waiver is granted, portions of the property contribution may be designated to either the 2012 or 2013 plan year. If the waiver is not granted, it may be necessary to contribute an additional $2.2 million on or before September 15, 2014, to fully satisfy the 2012 and 2013 minimum required contributions.
 
35

 
 
We determined that the contribution of the properties does not meet the accounting definition of a plan asset within the scope of relevant accounting guidance.  Accordingly, the contributed properties are not considered a contribution for financial reporting purposes and, as a result, are not included in plan assets and have no impact on the net pension liability recorded on our Consolidated Balance Sheets.  We continue to depreciate the carrying value of the properties in our financial statements, and no gain or loss was recognized at the contribution date for financial reporting purposes.  Rent payments will be made on a monthly basis and will be recorded as contributions to the hourly pension plan, of which $0.5 million has been recorded as of January 4, 2014.  These rental payments will reduce our unfunded obligation to the hourly pension plan.
 
We currently are required to make three quarterly cash contributions during fiscal 2014 of $1.5 million each related to our 2014 minimum required contribution.
 
We used a discount rate of 5.00% to compute the projected benefit obligation, which was determined by matching of plan liability cash flows to a portfolio of bonds.  A change in the discount rate of 25 basis points, from 5.00% to 5.25%, while holding all other assumptions constant, would have resulted in a reduction in the Company’s projected benefit obligation of approximately $3.1 million in 2013.
 
We used an estimated rate of future compensation increases of graded 5.5% - 2.5% to compute the projected benefit obligation.  A change in the rate of 25 basis points, from graded 5.5% - 2.5% to graded 5.75% - 2.75%, while holding all other assumptions constant, would have resulted in an increase in the Company’s projected benefit obligation of less than $0.1 million in 2013.
 
Plan assets are managed as a balanced portfolio comprised of two major components: an equity portion and a fixed income portion. The expected role of plan equity investments will be to maximize the long-term real growth of fund assets, while the role of fixed income investments will be to generate current income, provide for more stable periodic returns, and provide some downside protection against the possibility of a prolonged decline in the market value of equity investments. We review this investment policy statement at least once per year. In addition, the portfolio will be reviewed quarterly to determine the deviation from target weightings and will be rebalanced as necessary. Target allocations for fiscal 2014 are 50% domestic and 15% international equity investments, 30% fixed income investments, and 5% cash. The expected long-term rate of return for the plan’s total assets is based on the expected return of each of the above categories, weighted based on the target allocation for each class.
 
Share-Based Compensation
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent market and performance conditions are considered probable. The calculation of fair value related to share-based compensation is subject to certain assumptions discussed in more detail in Note 7 to the Consolidated Financial Statements. Management updates such estimates when circumstances warrant. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .
 
36

 

 

 
Recently Issued Accounting Pronouncements
 
In the first quarter of fiscal 2013, the Financial Accounting Standards Board issued an amendment to previously issued guidance which requires companies to report, in one place, information about reclassifications out of accumulated other comprehensive income (“AOCI”). The update also requires companies to present reclassifications by component when reporting changes in AOCI balances. For significant items reclassified out of AOCI to net income in their entirety in the period, companies must report the effect of the reclassifications on the respective line items in the statement where net income is presented. In certain circumstances, this can be done on the face of that statement. Otherwise, it must be presented in the notes. For items not reclassified to net income in their entirety in the period, companies must cross-reference in a note to other required disclosures. The amendments are effective for public companies in fiscal years, and interim periods within those years, beginning after December 15, 2012. We adopted this guidance during the first quarter of fiscal 2013. Refer to Note 17 of the Notes to Consolidated Financial Statements for the required disclosures.
 
There were no other accounting pronouncements adopted during fiscal 2013 that had a material impact on our financial statements.
 
 
General.  We are exposed to risks such as changes in interest rates, commodity prices and foreign currency exchange rates. We employ a variety of practices to manage these risks including the use of derivative instruments. Derivative instruments are used only for risk management purposes and not for speculation or trading, and are not used to address risks related to foreign currency exchange rates. We record derivative instruments as assets or liabilities on the balance sheet at fair value. The following discussion provides additional information regarding our market risk exposure.
 
Interest Rates.  Our revolving credit facilities accrue interest based on a floating benchmark rate (the prime rate or LIBOR rate), plus an applicable margin.  A change in interest rates under the revolving credit facility would have an impact on our results of operations. However, a change of 100 basis points in the market rate of interest would have an impact of $2.2 million and $1.8 million based on borrowings outstanding at January 4, 2014, and December 29, 2012, respectively, which we do not believe to be material. Additionally, to the extent changes in interest rates impact the housing market, we would be impacted by such changes.
 
Foreign Exchange Rates.  Less than 2.0% of our net sales are denominated in currencies other than the U.S. dollar, and we do not believe our total exposure to currency fluctuations to be significant.
 
Commodity Prices.  Many of the products we purchase and resell are commodities whose price is determined by the market’s supply and demand for such products. Commodity price fluctuations have from time to time created cyclicality in our financial performance and may do so in the future. The markets for most of these commodities are cyclical and are affected by factors such as global economic conditions, including the strength of the U.S. housing market, changes in or disruptions to industry production capacity, changes in inventory levels, and other factors beyond our control.
 
37

 

 


 
Index to Financial Statements and Supplemental Data
 
38

 

 

 
BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
 
To the Stockholders of BlueLinx Holdings Inc.:
 
Our management is responsible for establishing and maintaining adequate internal control over financial reporting as defined in Rule 13a-15(f) under the Securities Exchange Act of 1934, as amended. Our internal control over financial reporting is designed to provide reasonable assurance to our management and board of directors regarding the preparation and fair presentation of published financial statements.
 
Our management, including our chief executive officer and our chief financial officer, does not expect that our internal controls over financial reporting will prevent all errors and all fraud. Internal controls, no matter how well designed and operated, can provide only reasonable, not absolute, assurance that the objectives of the internal controls are met. Given the inherent limitations of internal controls, internal controls over financial reporting may not prevent or detect all misstatements or fraud. Therefore, no evaluation of internal control can provide absolute assurance that all control issues or instances of fraud will be prevented or detected.
 
Management assessed the effectiveness of our internal control over financial reporting as of January 4, 2014. In making this assessment, management used the criteria established by the Committee of Sponsoring Organizations of the Treadway Commission set forth in Internal Control — Integrated Framework (1992 framework). Based on our assessment, our management concluded that, as of January 4, 2014, our internal control over financial reporting was effective.
 
Ernst & Young LLP, an independent registered public accounting firm that audited our consolidated financial statements as of and for the year ended January 4, 2014 included in this Annual Report on Form 10-K, has issued an attestation report on our internal control over financial reporting as of January 4, 2014, dated February 24, 2014.
 
February 24, 2014
 
39

 

 

 
CONTROL OVER FINANCIAL REPORTING
 
The Board of Directors and Stockholders of BlueLinx Holdings Inc. and subsidiaries
 
We have audited BlueLinx Holdings Inc. and subsidiaries’ internal control over financial reporting as of January 4, 2014, based on criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (1992 framework) (the COSO criteria). BlueLinx Holdings Inc. and subsidiaries’ management is responsible for maintaining effective internal control over financial reporting, and for its assessment of the effectiveness of internal control over financial reporting included in the accompanying Management’s Report on Internal Control Over Financial Reporting. Our responsibility is to express an opinion on the Company’s internal control over financial reporting based on our audit.
 
We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, testing and evaluating the design and operating effectiveness of internal control based on the assessed risk, and performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.
 
A company’s internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company’s internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of the company’s assets that could have a material effect on the financial statements.
 
Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.
 
In our opinion, BlueLinx Holdings Inc. and subsidiaries maintained, in all material respects, effective internal control over financial reporting as of January 4, 2014, based on the COSO criteria.
 
We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the 2013 Consolidated Financial Statements of BlueLinx Holdings Inc. and subsidiaries and our report dated February 24, 2014 expressed an unqualified opinion thereon.
 
                              /s/ Ernst & Young LLP
 
Atlanta, Georgia
February 24, 2014
 
40

 

 

 
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM ON THE
CONSOLIDATED FINANCIAL STATEMENTS
 
The Board of Directors and Stockholders of BlueLinx Holdings Inc. and subsidiaries
 
We have audited the accompanying consolidated balance sheets of BlueLinx Holdings Inc. and subsidiaries as of January 4, 2014 and December 29, 2012, and the related consolidated statements of operations and comprehensive loss, stockholders’ equity (deficit), and cash flows for the fiscal years ended January 4, 2014, December 29, 2012, and December 31, 2011.  These financial statements are the responsibility of the Company’s management.  Our responsibility is to express an opinion on these financial statements based on our audits.
 
We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
 
In our opinion, the financial statements referred to above present fairly, in all material respects, the consolidated financial position of BlueLinx Holdings Inc. and subsidiaries at January 4, 2014 and December 29, 2012, and the consolidated results of their operations and their cash flows for the fiscal years ended January 4, 2014, December 29, 2012, and December 31, 2011, in conformity with U.S. generally accepted accounting principles.
 
We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), BlueLinx Holdings Inc. and subsidiaries’ internal control over financial reporting as of January 4, 2014, based on criteria established in Internal Control-Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (1992 framework) and our report dated February 24, 2014 expressed an unqualified opinion thereon.
 
                                               /s/ Ernst & Young LLP
 
Atlanta, Georgia
February 24, 2014
 
41

 

 


BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
             
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands, except share data)
 
ASSETS
           
Current assets:
           
Cash and cash equivalents
  $ 5,034     $ 5,188  
Receivables, less allowances of $4,359 in fiscal 2013 and $4,720 in fiscal 2012
    150,297       157,465  
Inventories, net
    223,580       230,059  
Other current assets
    22,814       19,427  
Total current assets
    401,725       412,139  
Property and equipment:
               
Land and improvements
    41,176       43,120  
Buildings
    90,082       94,070  
Machinery and equipment
    73,004       78,674  
Construction in progress
    3,028       1,173  
Property and equipment, at cost
    207,290       217,037  
Accumulated depreciation
    (96,171 )     (101,684 )
Property and equipment, net
    111,119       115,353  
Non-current deferred income tax assets, net
    824       445  
Other non-current assets
    16,578       16,799  
Total assets
  $ 530,246     $ 544,736  
LIABILITIES AND STOCKHOLDERS’ (DEFICIT) EQUITY
               
Current liabilities:
               
Accounts payable
  $ 60,363     $ 77,850  
Bank overdrafts
    19,377       35,384  
Accrued compensation
    4,173       6,170  
Current maturities of long-term debt
    9,141       8,946  
Deferred income taxes, net
    823       449  
Other current liabilities
    12,949       10,937  
Total current liabilities
    106,826       139,736  
Non-current liabilities:
               
Long-term debt
    388,995       368,446  
Other non-current liabilities
    40,323       57,146  
Total liabilities
    536,144       565,328  
STOCKHOLDERS’ DEFICIT
               
Common Stock, $0.01 par value, 200,000,000 and 100,000,000 shares authorized at January 4, 2014 and December 29, 2012, respectively; 86,545,000 and 63,664,115 shares issued and outstanding at January 4, 2014 and December 29, 2012, respectively
    866       637  
Additional  paid-in-capital
    251,150       209,815  
Accumulated other comprehensive loss
    (16,293 )     (30,042 )
Accumulated deficit
    (241,621 )     (201,002 )
Total stockholders’ deficit 
    (5,898 )     (20,592 )
Total liabilities and stockholders’ deficit 
  $ 530,246     $ 544,736  
 
42

 

 


BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
COMPREHENSIVE LOSS
                   
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands, except per share data)
 
Net sales
  $ 2,151,972     $ 1,907,842     $ 1,755,431  
Cost of sales
    1,923,489       1,677,772       1,545,282  
Gross profit
    228,483       230,070       210,149  
Operating expenses:
                       
Selling, general, and administrative
    240,667       215,996       207,857  
Depreciation and amortization
    9,117       8,565       10,562  
Total operating expenses
    249,784       224,561       218,419  
Operating (loss) income
    (21,301 )     5,509       (8,270 )
Non-operating expenses (income):
                       
Interest expense
    28,024       28,157       30,510  
Changes associated with the ineffective interest rate swap
                (1,676 )
Other expense (income), net
    306       (7 )     501  
Loss before (benefit from) provision for income taxes
    (49,631 )     (22,641 )     (37,605 )
(Benefit from) provision for income taxes
    (9,013 )     386       962  
Net loss
  $ (40,618 )   $ (23,027 )   $ (38,567 )
                         
Basic and diluted weighted average number of common shares outstanding
    80,163       65,452       47,049  
Basic and diluted net loss per share applicable to common shares outstanding
  $ (0.51 )   $ (0.35 )   $ (0.82 )
                         
Comprehensive loss:
                       
Net loss
  $ (40,618 )   $ (23,027 )   $ (38,567 )
Other comprehensive income (loss):
                       
Foreign currency translation, net of taxes
    (161 )     103       (92 )
Unrealized gain (loss) from pension plan, net of taxes
    13,910       (8,245 )     (14,969 )
Unrealized gain from ineffective interest rate swap, net of taxes
                519  
Total other comprehensive  income (loss)
    13,749       (8,142 )     (14,542 )
Comprehensive loss
  $ (26,869 )   $ (31,169 )   $ (53,109 )
 
43

 

 


BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
      (In thousands)
 
Cash flows from operating activities:
                 
Net loss
  $ (40,618 )   $ (23,027 )   $ (38,567 )
Adjustments to reconcile net loss to cash used in operations:
                       
Depreciation and amortization
    9,117       8,565       10,562  
Amortization of debt issue costs
    3,184       3,746       2,940  
Write-off of debt issue costs
    119              
Gain from sale of properties
    (5,220 )     (9,885 )     (10,604 )
Gain from property insurance settlements
          (476 )     (1,230 )
Changes associated with the ineffective interest rate swap
                (1,676 )
Vacant property charges, net
    1,321       (30 )     (291 )
Severance charges
    5,607              
Gain from modification of lease agreement
                (1,971 )
Payments on modification on lease agreement
    (300 )     (5,875 )      
Deferred income tax benefit
    (5 )     (20 )     (25 )
Intraperiod income tax allocation related to hourly pension plan
    (8,894 )            
Pension expense
    4,591       3,942       1,774  
Share-based compensation, excluding restructuring related
    3,222       2,797       1,974  
Share-based compensation, restructuring related
    2,895              
(Increase) decrease in restricted cash related to the ineffective interest rate swap, insurance, and other
    (1,810 )     695       987  
Accrued compensation and other
    (9,152 )     (657 )     (3,181 )
      (35,943 )     (20,225 )     (39,308 )
Changes in assets and liabilities:
                       
Receivables
    7,168       (18,593 )     (19,670 )
Inventories
    6,479       (44,482 )     2,673  
Accounts payable
    (17,585 )     9,050       5,973  
Net cash used in operating activities
    (39,881 )     (74,250 )     (50,332 )
Cash flows from investing activities:
                       
Property, plant and equipment investments
    (4,912 )     (2,826 )     (6,533 )
Proceeds from disposition of assets
    10,365       19,195       18,355  
Net cash provided by investing activities
    5,453       16,369       11,822  
Cash flows from financing activities:
                       
Excess tax benefits from share-based compensation arrangements
    16              
Repurchase of shares to satisfy employee tax withholdings
    (3,192 )     (526 )      
Repayments on revolving credit facilities
    (560,186 )     (473,349 )     (478,630 )
Borrowings from revolving credit facilities
    599,968       550,270       475,918  
Principal payments on mortgage
    (19,038 )     (37,272 )     (42,416 )
Payments on capital lease obligations
    (3,142 )     (2,259 )     (1,440 )
(Decrease) increase in bank overdrafts
    (16,007 )     13,020       (725 )
Decrease in restricted cash related to the mortgage 
    40       9,970       20,604  
Debt financing costs
    (2,900 )     (1,683 )     (2,721 )
Proceeds from stock offering less expenses paid
    38,715             58,521  
Net cash provided by financing activities
    34,274       58,171       29,111  
(Decrease) increase in cash
    (154 )     290       (9,399 )
Cash and cash equivalents balance, beginning of period
    5,188       4,898       14,297  
Cash and cash equivalents balance, end of period
  $ 5,034     $ 5,188     $ 4,898  
Supplemental Cash Flow Information
                       
Net income tax payments during the period
  $ (332 )   $ (508 )   $ (22 )
Interest paid during the period
  $ 24,706     $ 24,288     $ 28,098  
Noncash transactions:
                       
Capital leases
  $ 5,069     $ 5,238     $ 3,131  
 
44

 

 

 
BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
                                               
               
Accumulated
         
Stockholders’
 
         
Additional
   
Other
         
(Deficit)
 
   
Common Stock
   
Paid-In-
   
Comprehensive
   
Accumulated
   
Equity
 
   
Shares
   
Amount
   
Capital
   
Income (Loss)
   
Deficit
   
Total
 
   
(In thousands)
 
Balance, January 1, 2011
    32,668     327     147,427     $ (7,358 )   (139,405 )   991  
Net loss
                            (38,567 )     (38,567 )
Foreign currency translation adjustment, net of tax
                      (92 )           (92 )
Unrealized loss from pension plan, net of tax
                      (14,969 )           (14,969 )
Unrealized gain from cash flow hedge, net of tax
                      519             519  
Issuance of restricted stock, net of forfeitures
    774       7                         7  
Issuance of stock related to the rights offering, net of expenses
    28,571       286       58,235                   58,521  
Compensation related to share-based grants
                2,158                   2,158  
Impact of net settled shares for vested grants
                (194 )                 (194 )
Balance, December 31, 2011
    62,013       620       207,626       (21,900 )     (177,972 )     8,374  
Net loss
                            (23,027 )     (23,027 )
Foreign currency translation adjustment, net of tax
                      103             103  
Unrealized loss from pension plan, net of tax
                      (8,245 )           (8,245 )
Issuance of restricted stock, net of forfeitures
    1,875       19                         19  
Compensation related to share-based grants
                2,730                   2,730  
Impact of net settled shares for vested grants
    (224 )     (2 )     (524 )                 (526 )
Other
                (17 )           (3 )     (20 )
Balance, December 29, 2012
    63,664     637       209,815     (30,042 )     (201,002 )   (20,592 )
Net loss
                            (40,618 )     (40,618 )
Foreign currency translation adjustment, net of tax
                      (161 )           (161 )
Unrealized gain from pension plan, net of tax
                      13,910             13,910  
Issuance of restricted stock, net of forfeitures
    651       6                         6  
Issuance of performance shares
    628       6                         6  
Issuance of stock related to rights offerings, net of expenses
    22,857       229       38,384                   38,613  
Compensation related to share-based grants
                6,117                   6,117  
Impact of net settled shares for vested grants
    (1,255 )     (12 )     (3,181 )                 (3,193 )
Excess tax benefits from share-based compensation arrangements
                16                   16  
Other
                (1 )           (1 )     (2 )
Balance, January 4, 2014
    86,545     $ 866     $ 251,150     $ (16,293 )   $ (241,621 )   $ (5,898 )
 
45

 

 


BLUELINX HOLDINGS INC. AND SUBSIDIARIES
 
 
1. Basis of Presentation and Background
 
Basis of Presentation
 
BlueLinx Holdings Inc., operating through our wholly-owned subsidiary, BlueLinx Corporation (BlueLinx Holdings Inc. and its subsidiaries are collectively referred to as “BlueLinx” or the “Company”), is a leading distributor of building products in North America, with approximately 1,700 employees as of January 4, 2014.  We offer approximately 10,000 products from over 750 suppliers to service approximately 11,500 customers nationwide, including dealers, industrial manufacturers, manufactured housing producers and home improvement retailers. We operate our distribution business from sales centers in Atlanta and Denver, and our current network of approximately 50 distribution centers.  The Consolidated Financial Statements include our accounts and those of our wholly-owned subsidiaries. All significant intercompany accounts and transactions have been eliminated. Fiscal 2013 contained 53 weeks. Fiscal 2012 and fiscal 2011 each contained 52 weeks. Our fiscal quarters are quarters based on a 5-4-4 week period, with the exception of the fourth fiscal quarter of fiscal years containing 53 weeks, which are based on a 5-4-5 week period.
 
Nature of Operations
 
We are a wholesale supplier of building products in North America. We distribute products in two principal categories: structural products and specialty products. Structural products include plywood, oriented strand board (“OSB”), rebar and remesh, lumber and other wood products primarily used for structural support, walls and flooring in construction projects. Specialty products include roofing, insulation, moulding, engineered wood, vinyl products (used primarily in siding), outdoor living and metal products (excluding rebar and remesh). These products are sold to a diversified customer base, including independent building materials dealers, industrial and manufactured housing builders and home improvement centers. Net sales by product category are summarized below:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(Dollars in millions)
 
Sales by category
                 
Structural products
  $ 968     $ 806     $ 705  
Specialty products
    1,200       1,114       1,068  
Unallocated allowances and adjustments
    (16 )     (12 )     (18 )
Total sales
  $ 2,152     $ 1,908     $ 1,755  
 
Suppliers
 
As of January 4, 2014, our vendor base included over 750 suppliers of both structural and specialty building products. In some cases, these products are branded. We have supply contracts in place with many of our vendors. Terms for these agreements frequently include prompt payment discounts and freight allowances and occasionally include volume discounts, growth incentives, marketing allowances, consigned inventory and extended payment terms.
 
2. Summary of Significant Accounting Policies
 
Revenue Recognition
 
We recognize revenue when the following criteria are met: persuasive evidence of an agreement exists, delivery has occurred or services have been rendered, our price to the buyer is fixed and determinable and collectability is reasonably assured. Delivery is not considered to have occurred until the customer takes title and assumes the risks and rewards of ownership. The timing of revenue recognition is largely dependent on shipping terms. For sales transactions designated as FOB (free on board) shipping point, revenue is recorded at the time of shipment.  For sales transactions designated FOB destination, revenue is recorded when the product is delivered to the customer’s delivery site.
 
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All revenues are recorded gross. The key indicators used to determine when and how revenue is recorded are as follows:
 
 
We are the primary obligor responsible for fulfillment and all other aspects of the customer relationship.
 
Title passes from BlueLinx, and we carry all risk of loss related to warehouse and third-party (“reload”) inventory and inventory shipped directly from vendors to our customers.
 
We are responsible for all product returns.
 
We control the selling price for all channels.
 
We select the supplier.
 
We bear all credit risk.
 
In addition, we provide inventory to certain customers through pre-arranged agreements on a consignment basis. Customer consigned inventory is maintained and stored by certain customers; however, ownership and risk of loss remains with us. When the inventory is sold by the customer, we recognize revenue on a gross basis. Customer consigned inventory at January 4, 2014, and December 29, 2012 was approximately $10.1 million and $10.3 million, respectively.
 
All revenues are recorded after trade allowances, cash discounts and sales returns are deducted. Cash discounts and sales returns are estimated using historical experience. Trade allowances are based on the estimated obligations and historical experience.
 
Cash and Cash Equivalents
 
Cash and cash equivalents include all highly-liquid investments with maturity dates of less than three months when purchased.
 
Restricted Cash
 
We had restricted cash of $11.7 million and $9.9 million at January 4, 2014, and December 29, 2012, respectively. Restricted cash primarily includes amounts held in escrow related to our mortgage and insurance for workers’ compensation, auto liability, and general liability. Restricted cash is included in “Other current assets” and “Other non-current assets” on the accompanying Consolidated Balance Sheets.
 
The table below provides the balances of each individual component in restricted cash as of January 4, 2014, and December 29, 2012 (in thousands):
                 
   
At January 4,
2014
   
At December 29,
2012
 
Cash in escrow:
           
Mortgage
  $     $ 40  
Insurance
    7,921       7,906  
Other
    3,760       1,965  
Total
  $ 11,681     $ 9,911  
 
During fiscal 2013, 2012 and 2011, changes in restricted cash required under our mortgage were classified in the financing section of our Consolidated Statement of Cash Flows.  On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement.  In addition, on a quarterly basis, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement were used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million.  Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, is released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014. All funds released pursuant to these provisions may be used by the Company to pay for usual and customary operating expenses. During the period described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement.
 
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Concentrations of Credit Risk
 
Our receivables are principally from customers in the building products industry located in the United States and Canada.  We believe concentration of credit risk with respect to receivables is limited due to the large number of customers comprising our customer base. None of our customers individually constitute more than 10% of fiscal 2013 sales.
 
Allowance for Doubtful Accounts and Related Reserves
 
We evaluate the collectability of receivables based on numerous factors, including past transaction history with customers and their creditworthiness. We maintain an allowance for doubtful accounts for each aging category on our aged trial balance, which is aged utilizing contractual terms, based on our historical loss experience. This estimate is periodically adjusted when we become aware of specific customers’ inability to meet their financial obligations (e.g., bankruptcy filing or other evidence of liquidity problems). As we determine that specific balances ultimately will be uncollectible, we remove them from our aged trial balance. Additionally, we maintain reserves for cash discounts that we expect customers to earn as well as expected returns. At January 4, 2014, and December 29, 2012, these reserves totaled $4.4 million and $4.7 million, respectively.
 
Inventory Valuation
 
Inventories are carried at the lower of cost or market. The cost of all inventories is determined by the moving average cost method. We have included all material charges directly or indirectly incurred in bringing inventory to its existing condition and location. We evaluate our inventory value at the end of each quarter to ensure that first quality, actively moving inventory, when viewed by category, is carried at the lower of cost or market. During the second quarter of fiscal 2013, we recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss a lower of cost or market charge of $3.8 million related to declines in prices for our lumber, oriented strand board (“OSB”) and plywood inventory.  As we sold through inventory impacted by this reserve during the third quarter of fiscal 2013 and prices of lumber, OSB and plywood stabilized, the reserve was reduced to zero as of January 4, 2014.  
 
Additionally, we maintain a reserve for the estimated value impairment associated with damaged, excess and obsolete inventory. The damaged, excess and obsolete reserve generally includes discontinued items or inventory that has turn days in excess of 270 days, excluding new items during their product launch. At January 4, 2014, and December 29, 2012, our damaged, excess and obsolete inventory reserves were $1.8 million and $1.1 million, respectively.  During the second quarter of fiscal 2013, approximately $1.0 million was recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss for damaged, excess and obsolete inventory related to the closure of five distribution centers.  There was $0.3 million of this reserve remaining as of January 4, 2014, related to this inventory.  We discuss the closure or ceasing of operations of these distribution centers, which is included in our 2013 restructuring plan (the “2013 restructuring”), further in “Note 3 – Restructuring Charges”.
 
Consignment Inventory
 
We enter into consignment inventory agreements with vendors. This vendor consignment inventory relationship allows us to obtain and store vendor inventory at our warehouses and third-party (“reload”) facilities; however, ownership and risk of loss generally remains with the vendor. When the inventory is sold, we are required to pay the vendor, and we simultaneously take and transfer ownership from the vendor to the customer.
 
Consideration Received from Vendors and Paid to Customers
 
Each year, we enter into agreements with many of our vendors providing for inventory purchase rebates, generally based on achievement of specified volume purchasing levels. We also receive rebates related to price protection and various marketing allowances that are common industry practice. We accrue for the receipt of vendor rebates based on purchases, and also reduce inventory to reflect the net acquisition cost (purchase price less expected purchase rebates). At January 4, 2014, and December 29, 2012, the vendor rebate receivable totaled $7.6 million and $9.0 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
In addition, we enter into agreements with many of our customers to offer customer rebates, generally based on achievement of specified volume sales levels and various marketing allowances that are common industry practice. We accrue for the payment of customer rebates based on sales to the customer, and also reduce sales to reflect the net sales (sales price less expected customer rebates). At January 4, 2014, and December 29, 2012, the customer rebate payable totaled $6.3 million and $5.5 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
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Shipping and Handling
 
Amounts billed to customers in sales transactions related to shipping and handling are classified as revenue. Shipping and handling costs included in “Selling, general, and administrative” expenses were $99.7 million, $91.2 million, and $87.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
Advertising Costs
 
Advertising costs are expensed as incurred. Advertising expenses of $1.2 million, $1.1 million, and $1.9 million were included in “Selling, general and administrative” expenses for fiscal 2013, fiscal 2012 and fiscal 2011, respectively.
 
Loss per Common Share
 
We calculate our basic loss per share by dividing net loss by the weighted average number of common shares and participating securities outstanding for the period. Restricted stock granted by us to certain management employees and non-employee directors participate in dividends on the same basis as common shares and are non-forfeitable by the holder. The unvested restricted stock contains non-forfeitable rights to dividends or dividend equivalents. As a result, these share-based awards meet the definition of a participating security and are included in the weighted average number of common shares outstanding, pursuant to the two-class method, for the periods that present net income. The two-class method is an earnings allocation formula that treats a participating security as having rights to earnings that would otherwise have been available to common stockholders.
 
Given that the restricted stockholders do not have a contractual obligation to participate in the losses and the inclusion of such unvested restricted shares in our basic and dilutive per share calculations would be anti-dilutive, we have not included these amounts in our weighted average number of common shares outstanding for periods in which we report a net loss. Therefore, we have not included 1,618,283, 3,554,738 and 2,361,424 of unvested restricted shares that had the right to participate in dividends in our basic and dilutive calculations for fiscal 2013, fiscal 2012, and fiscal 2011, respectively, because all periods reflected net losses.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. During fiscal 2013, we granted 2,969,424 performance shares under our 2006 Long-Term Equity Incentive Plan (the “2006 Plan”) in which shares are issuable upon satisfaction of certain performance criteria. As of January 4, 2014, we assumed that 2,192,868 of these performance shares will vest, net of forfeitures and vestings to date, based on our assumption that meeting the performance criteria is probable. The performance shares are not considered participating shares under the two-class method because they do not receive any non-transferable rights to dividends.  The 2,192,868 performance shares we assume will vest were not included in the computation of diluted earnings per share calculation because they were antidilutive.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. As we experienced losses in all periods, basic and diluted loss per share are computed by dividing net loss by the weighted average number of common shares outstanding for the period. For fiscal 2013, fiscal 2012, and fiscal 2011, we excluded 4,595,650, 4,460,054 and  3,266,740 unvested share-based awards, respectively, from the diluted earnings per share calculation because they were anti-dilutive. The unvested share-based awards total excludes the assumed exercise of unexpired stock options.
 
On March 27, 2013, we completed a rights offering of common stock to our stockholders (the “2013 Rights Offering”) at a subscription price that was lower than the market price of our common stock. The 2013 Rights Offering was deemed to contain a bonus element that is similar to a stock dividend, requiring us to adjust the weighted average number of common shares used to calculate basic and diluted earnings per share in prior periods retrospectively by a factor of 1.0894. Weighted average shares for fiscal 2012 prior to giving effect to the 2013 Rights Offering were 60,079,528 and 65,451,808 after application of the adjustment factor above. Weighted average shares for fiscal 2011 prior to giving effect to the 2013 Rights Offering were 43,187,315 and 47,049,102 after application of the adjustment factor above.
 
49

 
 
Common Stock Dividends
 
On December 5, 2007, our Board of Directors suspended the payment of dividends on our common stock for an indefinite period of time. Resumption of the payment of dividends will depend on, among other things, business conditions in the housing industry, our results of operations, cash requirements, financial condition, contractual restrictions, provisions of applicable law and other factors that our Board of Directors may deem relevant. Accordingly, we may not be able to resume the payment of dividends at the same quarterly rate in the future, if at all.
 
Property and Equipment
 
Property and equipment are recorded at cost. Lease obligations for which we assume or retain substantially all the property rights and risks of ownership are capitalized. Replacements of major units of property are capitalized and the replaced properties are retired. Replacements of minor components of property and repair and maintenance costs are charged to expense as incurred.
 
Depreciation is computed using the straight-line method over the estimated useful lives of the related assets. Useful lives are 2 to 18 years for land improvements, 5 to 40 years for buildings, and 3 to 7 years for machinery and equipment, which includes mobile equipment. Upon retirement or disposition of assets, cost and accumulated depreciation are removed from the related accounts and any gain or loss is included in income. Depreciation expense totaled $9.1 million for fiscal 2013, $8.4 million for fiscal 2012 and $10.4 million for fiscal 2011.
 
During fiscal 2013, we sold certain properties with carrying values of $3.9 million, which resulted in gains totaling $5.2 million.  During fiscal 2012, we sold certain properties with carrying values of $7.4 million, which resulted in gains totaling $9.9 million.  These gains are recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .  All of these properties in fiscal 2013 and fiscal 2012 were classified as held for sale.  See Note 4 for discussion of the held for sale properties sold during the year.
 
Impairment of Long-Lived Assets
 
Long-lived assets, including property and equipment and intangible assets with definite useful lives, are reviewed for possible impairment whenever events or circumstances indicate that the carrying amount of an asset may not be recoverable.
 
We consider whether there were indicators of potential impairment on a quarterly basis. Indicators of impairment include current period losses combined with a history of losses, management’s decision to exit a facility, reductions in the fair market value of real properties and changes in other circumstances that indicate the carrying amount of an asset may not be recoverable.
 
Our evaluation of long-lived assets is performed at the lowest level of identifiable cash flows, which is generally the individual distribution facility. In the event of indicators of impairment, the assets of the distribution facility are evaluated by comparing the facility’s undiscounted cash flows over the estimated useful life of the asset, which ranges between 5-40 years, to its carrying value. If the carrying value is greater than the undiscounted cash flows, an impairment loss is recognized for the difference between the carrying value of the asset and the estimated fair market value. Impairment losses are recorded as a component of “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .
 
Our estimate of undiscounted cash flows is subject to assumptions that affect estimated operating income at a distribution facility level. These assumptions are related to future sales, margin growth rates, economic conditions, market competition and inflation. In the event that undiscounted cash flows do not exceed the carrying value of a facility, our estimates of fair market value are generally based on market appraisals and our experience with related market transactions. We use a two year average of cash flows based on 2013 EBITDA and 2014 projected EBITDA, which includes a growth factor assumption, to estimate undiscounted cash flows. These assumptions used to determine impairment are considered to be level 3 measurements in the fair value hierarchy as defined in Note 13.
 
While operating results have declined during the past several years as they are closely tied to U.S. housing starts, during fiscal 2012 we began to see signs of a housing recovery, and our results have improved; however, our sales are still below normal levels.  To the extent that reductions in volume and operating income have resulted in impairment indicators, in all cases our carrying values continue to be less than our projected undiscounted cash flows. As such, we have not identified significant known trends impacting the fair value of long-lived assets to an extent that would indicate impairment.
 
50

 
 
During the first quarter of fiscal 2011 our Newtown, CT facility was damaged due to severe winter weather. As a result of the damage to the facility and its contents we received approximately $5.8 million in proceeds from the insurance company comprised of $2.2 million related to the damaged building, $2.4 million related to damaged and destroyed inventory and $1.2 million related to the recovery of additional expenses incurred as a result of the damage. Cash received related to the damaged building was classified as an investing cash inflow in our Consolidated Statement s of Cash Flows and used to reduce the principal of our mortgage. All other cash inflows related to the insurance settlement were classified as operating cash flows in our Consolidated Statement s of Cash Flows. The majority of the remaining cash inflows were used to fund costs incurred related to the Newtown loss. We recognized a $1.4 million gain in fiscal 2011 of which $1.2 million related to the damaged building and $0.2 million related to the recovery of gross margin on the inventory. We recorded the gain at the time that the recovery of the minimum expected proceeds under our insurance policy became probable and was estimable. This gain was recorded in “Selling, general and administrative expenses” in our Consolidated Statement s of Operations and Comprehensive Loss .
 
Share-Based Compensation
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent market and performance conditions are considered probable. The calculation of fair value related to share-based compensation is subject to certain assumptions discussed in more detail in Note 7. Management updates such estimates when circumstances warrant. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .
 
Income Taxes
 
Deferred income taxes are provided using the liability method. Accordingly, deferred income taxes are recognized for differences between the income tax and financial reporting bases of our assets and liabilities based on enacted tax laws and tax rates applicable to the periods in which the differences are expected to affect taxable income.  We recognize a valuation allowance, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized.  In evaluating our ability to recover our deferred income tax assets, we considered available positive and negative evidence, including our past operating results, our ability to carryback losses against prior taxable income, the existence of cumulative losses in the most recent years, our forecast of future taxable income and an excess of appreciated assets over the tax basis of our net assets. In estimating future taxable income, we developed assumptions including the amount of future state and federal pretax operating and non-operating income, the reversal of temporary differences and the implementation of feasible and prudent tax planning strategies.  These assumptions required significant judgment about the forecasts of future taxable income.  When we considered all of the available positive and negative evidence, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized. Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements .
 
If the realization of deferred tax assets in the future is considered more likely than not, a reduction to the valuation allowance related to the deferred tax assets would increase net income in the period such determination is made. The amount of the deferred tax asset considered realizable is based on significant estimates, and it is possible that changes in these estimates could materially affect the financial condition and results of operations.  Our effective tax rate may vary from period to period based on changes in estimated taxable income or loss; changes to the valuation allowance; changes to federal or state tax laws; and as a result of acquisitions.
 
We generally believe that the positions taken on previously filed tax returns are more likely than not to be sustained by the taxing authorities.  We have recorded income tax and related interest liabilities where we believe our position may not be sustained.  Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements .
 
Foreign Currency Translation
 
The functional currency for our Canadian operations is the Canadian dollar. The translation of the applicable currencies into U.S. dollars is performed for balance sheet accounts using current exchange rates in effect at the balance sheet date and for revenue and expense accounts using a weighted average exchange rate during the period. Any related translation adjustments are recorded directly in stockholders’ equity. Foreign currency transaction gains and losses are reflected in the Consolidated Statements of Operations and Comprehensive Loss . Accumulated other comprehensive loss at January 4, 2014, and December 29, 2012 included the accumulated gain from foreign currency translation (net of tax) of $1.6 million and $1.8 million, respectively.
 
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Compensated Absences
 
We accrue for the costs of compensated absences to the extent that the employee’s right to receive payment relates to service already rendered, the obligation vests or accumulates, payment is probable and the amount can be reasonably estimated.
 
Use of Estimates
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make certain estimates and assumptions. These estimates and assumptions affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements, as well as reported amounts of revenues and expenses during the reporting period. Actual results could differ from these estimates and such differences could be material.
 
Reclassifications
 
During fiscal 2012, we classified certain amounts, which had historically been presented as “Property, plant and equipment investments” in the “Cash flows from investing activities” section of the Consolidated Statements of Cash Flows to “Other” changes in the “Cash flows from operating activities” section of the Consolidated Statements of Cash Flows. To conform the historical presentation to the current and future presentation, we reclassified similar items in prior periods from “Net cash (used in) provided by investing activities” to “Net cash used in operating activities” in our Consolidated Statements of Cash Flows. The presentation of these same items during fiscal 2013 is consistent with the adjusted presentation in fiscal 2012 and will be going forward.
 
New Accounting Standards
 
In the first quarter of fiscal 2013, the Financial Accounting Standards Board (the “FASB”) issued an amendment to previously issued guidance which requires companies to report, in one place, information about reclassifications out of accumulated other comprehensive income (“AOCI”). The update also requires companies to present reclassifications by component when reporting changes in AOCI balances. For significant items reclassified out of AOCI to net income in their entirety in the period, companies must report the effect of the reclassifications on the respective line items in the statement where net income is presented. In certain circumstances, this can be done on the face of that statement. Otherwise, it must be presented in the notes. For items not reclassified to net income in their entirety in the period, companies must cross-reference in a note to other required disclosures. The amendments are effective for public companies in fiscal years, and interim periods within those years, beginning after December 15, 2012. We adopted this guidance during the first quarter of fiscal 2013; refer to “Note 17 – Accumulated Other Comprehensive Loss” for the required disclosures.
 
There were no other accounting pronouncements adopted during fiscal 2013 that had a material impact on our financial statements.
 
3. Restructuring Charges
 
We account for exit and disposal costs by recognizing a liability for costs associated with an exit or disposal activity at fair value in the period in which it is incurred or when the entity ceases using the right conveyed by a contract (i.e., the right to use a leased property).  We account for severance and outplacement costs by recognizing a liability for employees’ rights to post-employment benefits when management has committed to a plan, due to the existence of a post employment benefit agreement. These costs are included in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss for the fiscal years ended January 4, 2014, December 29, 2012, and December 31, 2011, and in “Accrued compensation” on the Consolidated Balance Sheets at January 4, 2014 and December 29, 2012.
 
52

 
 
2013 Facility Lease Obligation and Severance Costs
 
During the second quarter of fiscal 2013, we announced the 2013 restructuring which included the realignment of headquarters resources and the strategic review of our distribution centers.  This review resulted in the Company designating five distribution centers to be sold or closed.  These distribution centers were closed or ceased operations during the third quarter of fiscal 2013.  During the second quarter of fiscal 2013, we also announced that George R. Judd no longer would serve as President and Chief Executive Officer of the Company (the “change in executive leadership”).  In connection with the 2013 restructuring and the change in executive leadership the Company has recognized severance related charges of $5.6 million and $2.9 million of related share-based compensation charges in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013.  In addition, the Company has recognized facility lease obligation charges of $1.3 million for two closed facilities in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013.
 
The table below summarizes the balance of reduction in force activities and the related accrued facility lease obligation reserve and the changes in the accrual for fiscal 2013 (in thousands):
                         
   
Reduction in
Force
Activities
   
Facility Lease
Obligation
   
Total
 
Balance at December 29, 2012
  $     $     $  
Charges
    5,709       1,398       7,107  
Assumption changes
    (102 )     (77 )     (179 )
Payments
    (3,057 )     (402 )     (3,459 )
Accretion of Liability
          9       9  
Balance at January 4, 2014
  $ 2,550     $ 928     $ 3,478  
 
In addition to the charges described above, as a result of the 2013 restructuring we recorded approximately $1.4 million of other restructuring related charges, which were recorded in “Selling, general and administrative” expenses in the Consolidated Statement of Operations and Comprehensive Loss during fiscal 2013.
 

During the first quarter of fiscal 2013, we completed the transition of our Fremont, California operation to our new facility in Stockton, California.  We incurred approximately $0.8 million of transition costs related to this move which are recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss in the first nine months of fiscal 2013.

 
During the third quarter of fiscal 2011, we entered into an amendment to our corporate headquarters lease in Atlanta, Georgia related to the unoccupied 4100 building, which was exited during fiscal 2007. This amendment released us from our obligations with respect to this unoccupied space as of January 31, 2012, in exchange for a $5.0 million space remittance fee, which was paid in the first quarter of fiscal 2012. We also paid $0.9 million in the third quarter of fiscal 2012 and paid an additional $0.3 million in the first quarter of fiscal 2014 related to contractually obligated tenant improvement reimbursement expense. As of January 4, 2014 and December 29, 2012, there was a remaining balance of this accrued facility consolidation reserve of $0.3 million. The provisions relating to the occupied 4300 building remain unchanged. Under the existing provisions, the current term of the lease ends on January 31, 2019.
 
4. Assets Held for Sale and Net Gain on Disposition
 
We have certain assets that we have designated as assets held for sale. At the time of designation, we ceased recognizing depreciation expense on these assets. As of January 4, 2014, and December 29, 2012, total assets held for sale were $2.6 million and $1.6 million, respectively, and were included in “Other current assets” in our Consolidated Balance Sheets. During the second quarter of fiscal 2013, we designated the Denver, Colorado sales center and the Sioux Falls, South Dakota distribution center as held for sale.  We finalized the sale of the owned Denver, Colorado sales center, which had a carrying value of $3.3 million, during the third quarter. We finalized the sale of the Sioux Falls facility, which had a carrying value of $0.6 million, during the fourth quarter of fiscal 2013.  We also designated one of our distribution centers as held for sale during the second quarter of fiscal 2013.  This property has a total carrying value of $1.9 million, and we plan to finalize a sale of the facility within the next 12 months.  We continue to actively market all properties that are designated as held for sale.
 
During fiscal 2013 we recognized a gain of $5.0 million on the sale of the Denver, Colorado sales center and the Sioux Falls, South Dakota facility. This gain was net of $0.5 million of capitalized broker commissions related to the Denver, Colorado sales center lease that were written off during the period.  This gain was recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss.  We recognized an additional gain related to the sale of our Fremont, California location during fiscal 2013 of approximately $0.2 million.  The gain was related to seller’s proceeds that were held by the title company for certain remediation activities that were settled during the first quarter of fiscal 2013.
 
53

 
 
5. Income Taxes
 
Our (benefit from) provision for income taxes consists of the following:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Federal income taxes:
                 
Current
  $ (492 )   $ 16     $ (89 )
Deferred
    (7,385 )            
State income taxes:
                       
Current
    192       334       759  
Deferred
    (1,343 )            
Foreign income taxes:
                       
Current
    19       56       317  
Deferred
    (4 )     (20 )     (25 )
(Benefit from) provision for income taxes
  $ (9,013 )   $ 386     $ 962  
 
The federal statutory income tax rate was 35%. Our provision for (benefit from) income taxes is reconciled to the federal statutory amount as follows:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Benefit from income taxes computed at the federal statutory tax rate
  $ (17,371 )   $ (7,924 )   $ (13,162 )
Benefit from state income taxes, net of federal benefit
    (1,991 )     (866 )     (1,296 )
Valuation allowance change
    19,445       8,820       14,498  
Nondeductible items
    270       484       806  
Benefit from allocation of income taxes to other comprehensive income (loss)
    (8,726 )            
 
                       
Other
    (640 )     (128 )     116  
(Benefit from) provision for income taxes
  $ (9,013 )   $  386     $ 962  
 
Our income before provision for income taxes for our Canadian operations was $0.1 million, $0.1 million and $0.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
For fiscal 2013, we recognized tax benefit of $9.0 million. The benefit recognized for the year is primarily comprised of $8.7 million of deferred income tax benefit resulting from the allocation of income tax expense to other comprehensive income (loss). In addition, we recognized an income tax benefit related to the reversal of a $0.6 million reserve for an uncertain tax position due to the expiration of the statue of limitations. Finally, we recognized current state income tax expense of $0.3 million related to earnings generated on a separate company basis.
 
For fiscal 2012, we recognized tax expense of $0.4 million. The expense recognized for the year is primarily comprised of $0.3 million for current state income tax expense related to earnings generated on a separate company basis.
 
For fiscal 2011, we recognized tax expense of $1.0 million. The expense recognized for the year is primarily comprised of $0.8 million for current state income tax expense related to earnings generated on a separate company basis and $0.3 million of current income tax expense resulting from foreign income taxes.
 
In accordance with the intraperiod tax allocation provisions of U.S. GAAP, we are required to consider all items (including items recorded in other comprehensive income) in determining the amount of tax benefit that results from a loss from continuing operations that should be allocated to continuing operations. In fiscal 2013, a non-cash tax benefit on the loss from continuing operations of $8.7 million, which was offset in full by income tax expense, was recorded in other comprehensive income. In fiscal 2012 and fiscal 2011, there was no intraperiod tax allocation due to the fact that there was a loss in other comprehensive income for the period. While the income tax benefit from continuing operations is reported in our Consolidated Statements of Operations and Comprehensive Loss , the income tax expense on other comprehensive income is recorded directly to accumulated other comprehensive loss, which is a component of stockholders’ equity.
 
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Our financial statements contain certain deferred tax assets which have arisen primarily as a result of tax benefits associated with the loss before income taxes incurred, as well as net deferred income tax assets resulting from other temporary differences related to certain reserves, pension obligations and differences between book and tax depreciation and amortization. We record a valuation allowance against our net deferred tax assets when we determine that based on the weight of available evidence, it is more likely than not that our net deferred tax assets will not be realized.
 
In our evaluation of the weight of available evidence, we considered recent reported losses as negative evidence which carried substantial weight. Therefore, we considered evidence related to the four sources of taxable income, to determine whether such positive evidence outweighed the negative evidence associated with the losses incurred. The positive evidence considered included:
 
 
taxable income in prior carryback years, if carryback is permitted under the tax law;
 
 
future reversals of existing taxable temporary differences;
 
 
tax planning strategies; and
 
 
future taxable income exclusive of reversing temporary differences and carryforwards.
 
During fiscal 2013 and 2012, we weighed all available positive and negative evidence and concluded the weight of the negative evidence of a three year cumulative loss continued to outweigh the positive evidence.  Based on the conclusions reached, we maintained a full valuation allowance during 2013 and 2012.
 
The components of our net deferred income tax assets (liabilities) are as follows:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Deferred income tax assets:
           
Inventory reserves
  $ 2,832     $ 2,816  
Compensation-related accruals
    4,893       5,838  
Accruals and reserves
    1,030       92  
Accounts receivable
    1,291       1,327  
Restructuring costs
    488       118  
Pension
    8,245       16,936  
Benefit from NOL carryovers(1)
    70,169       52,088  
Other
    703       695  
Total gross deferred income tax assets
    89,651       79,910  
Less: Valuation allowances
    (88,279 )     (78,050 )
Total net deferred income tax assets
  $ 1,372     $ 1,860  
Deferred income tax liabilities:
               
Intangible assets
          (60 )
Property and equipment
    (365 )     (1,065 )
Other
    (1,006 )     (739 )
Total deferred income tax liabilities
    (1,371 )     (1,864 )
Deferred income tax assets (liabilities), net
  $ 1     $ (4 )
 

(1)
Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years.
 
55

 
 
Activity in our deferred tax asset valuation allowance for fiscal 2013 and fiscal 2012 was as follows (in thousands):
                 
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
 
Balance at beginning of the year
  $ 78,050     $ 66,793  
Valuation allowance removed for taxes related to:
               
Income before income taxes
           
Valuation allowance provided for taxes related to:
               
Loss before income taxes
    10,229       11,257  
Effect of a change in judgment
           
Balance at end of the year
  $ 88,279     $ 78,050  
 
We have recorded income tax and related interest liabilities where we believe certain of our tax positions are not more likely than not to be sustained if challenged. The following table summarizes the activity related to our unrecognized tax benefits:
         
   
(In thousands)
 
Balance at January 1, 2011
  $ 677  
Increases related to current year tax positions
     
Additions for tax positions in prior years
    196  
Reductions for tax positions in prior years
     
Settlements
     
Balance at December 31, 2011
    873  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statue of limitations
    (47 )
Settlements
     
Balance at December 29, 2012
    826  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statute of limitations
    (567 )
Settlements
     
Balance at January 4, 2014
  $ 259  
 
Included in the unrecognized tax benefits at January 4, 2014 and December 29, 2012 were $0.3 million and $0.8 million, respectively, of tax benefits that, if recognized, would reduce our annual effective tax rate.  We also accrued an immaterial amount of interest related to these unrecognized tax benefits during 2013 and 2012, and this amount is reported in “Interest expense” in our Consolidated Statements of Operations and Comprehensive Loss . We do not expect our unrecognized tax benefits to change materially over the next 12 months.
 
We file U.S., state, and foreign income tax returns in jurisdictions with varying statutes of limitations. The 2010 through 2013 tax years generally remain subject to examination by federal and most state and foreign tax authorities.
 
56

 
 
6. Receivables
 
We have a diversified customer base concentrated in the building products business. Credit risk is monitored and provisions for expected losses are provided as determined necessary by management. We generally do not require collateral.
 
The following reflects our activity in receivables related reserve accounts:
                                 
   
Beginning
Balance
   
Expense/
(Income)
   
Write offs and
Other, Net
   
Ending
Balance
 
   
(In thousands)
 
Fiscal 2011
                       
Allowance for doubtful accounts and related reserves
  $ 5,715     $ 2,576     $ (3,156 )   $ 5,135  
Fiscal 2012
                               
Allowance for doubtful accounts and related reserves
  $ 5,135     $ 2,034     $ (2,449 )   $ 4,720  
Fiscal 2013
                               
Allowance for doubtful accounts and related reserves
  $ 4,720     $ 1,581     $ (1,942 )   $ 4,359  
 
7. Stock-Based Compensation
 
We have two stock-based compensation plans covering officers, directors and certain employees and consultants: the 2004 Equity Incentive Plan (the “2004 Plan”) and the 2006 Long Term Equity Incentive Plan (the “2006 Plan”). The plans are designed to motivate and retain individuals who are responsible for the attainment of our primary long-term performance goals. The plans provide a means whereby our employees and directors develop a sense of proprietorship and personal involvement in our development and financial success and encourage them to devote their best efforts to our business. Although we do not have a formal policy on the matter, we issue new shares of our common stock to participants, upon the exercise of options, upon the granting of restricted stock or upon the vesting of performance shares, out of the total amount of common shares authorized for issuance under the 2004 Plan or the 2006 Plan.
 
The 2004 Plan provides for the grant of nonqualified stock options, incentive stock options and restricted shares of our common stock to participants of the plan selected by our Board of Directors or a committee of the Board that administers the 2004 Plan. We reserved 2,222,222 shares of our common stock for issuance under the 2004 Plan. The terms and conditions of awards under the 2004 Plan are determined by the administrator for each grant.
 
The 2006 Plan permits the grant of nonqualified stock options, incentive stock options, stock appreciation rights, restricted stock, restricted stock units, performance shares, performance units, cash-based awards, and other stock-based awards to participants of the 2006 Plan selected by our Board of Directors or a committee of the Board that administers the 2006 Plan. We reserved 12,200,000 shares of our common stock for issuance under the 2006 Plan. The terms and conditions of awards under the 2006 Plan are determined by the administrator for each grant. Awards issued under the 2006 Plan are subject to accelerated vesting in the event of a change in control as such event is defined in the 2006 Plan.
 
During fiscal 2013, the Compensation Committee granted 1,202,185 restricted shares of our common stock to certain of our officers and directors.  Due to the change in executive leadership, 1,081,071 restricted shares vested.  In addition, 378,629 restricted shares of certain other executives vested as a result of the 2013 restructuring.  Restricted shares of 2,587,452 vested in fiscal 2013 due to the completion of the vesting term and the modification related to the change in executive leadership and the 2013 restructuring.  In addition, in fiscal 2013 the Compensation Committee granted certain of our executive officers and directors awards of performance shares of our common stock. These performance share awards, which totaled 2,969,424, and vest in three equal tranches, are contingent upon the successful achievement of certain financial and strategic goals approved by the Compensation Committee.  In conjunction with the change in executive leadership and the 2013 restructuring, performance shares of 627,320 vested due to the removal of vesting and performance criteria. There were no stock options granted during fiscal 2013, 2012 or fiscal 2011.
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent the occurrence of such conditions are probable. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss .
 
57

 
 
As of January 4, 2014, there was $1.4 million and $4.4 million of total unrecognized compensation expense related to restricted stock and performance shares, respectively. The unrecognized compensation expense is expected to be recognized over weighted average term of 1.4 years and 1.5 years for restricted stock and performance shares, respectively. As of December 29, 2012, there was $2.5 million of total unrecognized compensation expense related to restricted stock.  There was no future compensation expense remaining for options as of January 4, 2014 and December 29, 2012.  As of January 4, 2014, the weighted average remaining contractual term for our options, restricted stock, and performance shares was 4.1 years, 1.2 years and 1.2 years, respectively. As of December 29, 2012, the weighted average remaining contractual term for our options and restricted stock was 4.9 years and 1.4 years, respectively.  The maximum contractual term for stock options, restricted stock, and performance shares  is 10 years, 1 to 3 years, and 1 to 3 years, respectively.
 
For fiscal 2013, fiscal 2012 and fiscal 2011, our total stock-based compensation expense was $6.1 million, $2.8 million, and $2.0 million, respectively.  We also recognized related income tax benefits of $2.4 million, $1.1 million and $0.8 million, respectively which has been offset by a valuation allowance.  Approximately $2.9 million of total stock-based compensation during fiscal 2013 is related to the 2013 restructuring and the change in executive leadership.
 
The total fair value of the options vested in fiscal 2011 was $0.7 million. There were no options vested in fiscal 2012 and fiscal 2013.  For restricted stock, the total fair value vested in 2013, fiscal 2012 and fiscal 2011 was $6.4 million, $2.3 million and $2.2 million, respectively. For performance shares, the total fair value vested in 2013 was $1.5 million.
 
There were no stock option exercises during fiscal 2013, fiscal 2012 or fiscal 2011. We present the benefits of tax deductions in excess of recognized compensation expense as both a financing cash inflow and an operating cash outflow in our Consolidated Statements of Cash Flows when present.  There were $16 thousand excess tax benefits in fiscal 2013. There were no excess tax benefits in fiscal 2012 and fiscal 2011.
 
On December 30, 2013, the Compensation Committee approved an amendment to the 2013 Performance Share Award Agreement under the 2006 Plan (the “2013 Amendment”).  The 2013 Amendment provides that the first tranche of the performance shares granted during fiscal 2013 will vest in fiscal 2014, despite the original performance criteria not being achieved.  The 2013 Amendment was determined to be a modification of the award and an adjustment related to the difference in fair value was recorded in fiscal 2013.  The related awards will vest in fiscal 2014.
 
On December 14, 2010, the Compensation Committee approved an amendment to the 2008 Performance Share Award Agreement under the 2006 Plan (the “2010 Amendment”).  The 2010 Amendment provides that the Company may, at the discretion of the Compensation Committee, settle grants pursuant to Performance Share Award Agreements either in (i) one share of common stock of the Company for each Performance Share (as defined in the 2006 Plan) earned or (ii) a lump sum cash payment equal to the Fair Market Value (as defined in the 2006 Plan) of one share of common stock of the Company for each Performance Share earned. The 2010 Amendment was determined to be a modification of the award and an adjustment related to the difference in fair value was recorded in fiscal 2010. The award, which impacts eight employees, was classified as a liability award and was marked to market.  On January 1, 2011, the fair value of these awards was based on the closing price of our common stock on December 31, 2010 of $3.66.  These awards were settled in cash on January 7, 2011.  Our restricted stock units were also settled in cash upon vesting and were considered liability awards.  Therefore, these are not included in the computation of the basic and diluted earnings per share.
 
58

 

 

 
The tables below summarize activity and include certain additional information related to our outstanding employee stock options for the three years ended January 4, 2014.  There have been no new employee stock option grants for the three years ended January 4, 2014.
                 
   
Shares
   
Weighted
Average
Exercise
Price
 
Options outstanding at January 1, 2011
    924,815     $ 6.31  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (19,499 )     12.53  
Options outstanding at December 31, 2011
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
           
Options outstanding at December 29, 2012
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (120,816 )     13.58  
Options outstanding at January 4, 2014
    784,500       5.05  
Options exercisable at January 4, 2014
    784,500     $ 5.05  
 
                                                   
   
Outstanding
   
Exercisable  
 
 
 
 
Price Range
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
 
$4.66
    750,000     $ 4.66       4.2       750,000     $ 4.66       4.2  
$11.40-$14.01
    34,500     $ 13.25       2.3       34,500     $ 13.25       2.3  
      784,500               4.1       784,500               4.1  
 
The following tables summarize activity for our performance shares, restricted stock awards and restricted stock unit awards during fiscal 2013, fiscal 2012 and fiscal 2011:
                                 
   
Restricted Stock
   
Performance
Shares
   
Restricted
Stock Units
 
         
Weighted
             
   
Number of
   
Average Fair
   
Number of
   
Number of
 
   
Awards
   
Value
   
Awards
   
Awards (1)
 
Outstanding at January 1, 2011(2)
    1,914,288       2.67       240,835       127,950  
Granted
    819,240       3.14              
Vested(2)
    (364,303 )     6.16       (240,835 )     (63,200 )
Forfeited
    (7,801 )     3.26             (15,400 )
Outstanding at December 31, 2011
    2,361,424       3.22             49,350  
Granted
    2,067,835       1.52              
Vested
    (681,484 )     3.39             (48,250 )
Forfeited
    (193,037 )     2.76             (1,100 )
Outstanding at December 29, 2012
    3,554,738        1.22              
Granted(3)
    1,202,185       3.15       2,969,424        
Vested(3)
    (2,587,452 )     2.48       (627,320 )      
Forfeited(3)
    (551,188 )     2.28       (149,236 )      
Outstanding at January 4, 2014(3)
    1,618,283     $  2.50       2,192,868        
 

(1)
The restricted stock units were settled in cash. The fair value of these awards was marked-to-market each reporting period through the date of settlement.  During fiscal 2012 and fiscal 2011, certain restricted stock units vested and approximately $0.1 million and $0.2 million, respectively, was paid out to settle these awards.
 
 
(2)
During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date.
 
 
(3)
The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested, and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55.
 
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8. Employee Benefits
 
Defined Benefit Pension Plans
 
Most of our hourly employees participate in noncontributory defined benefit pension plans, which include a plan that is administered solely by us (the “hourly pension plan”) and union-administered multiemployer plans. Our funding policy for the hourly pension plan is based on actuarial calculations and the applicable requirements of federal law.  We believe that each multiemployer pension plan is immaterial to our financial statements and that we represent an immaterial portion of the total contributions and future obligations of these plans. Contributions to multiemployer plans are generally based on negotiated labor contracts. We contributed $1.3 million, $1.3 million, and $1.2 million to union administered multiemployer pension plans for fiscal 2013, fiscal 2012, and fiscal 2011, respectively. Benefits under the majority of plans for hourly employees (including multiemployer plans) are primarily related to years of service.
 
The following tables set forth the change in projected benefit obligation and the change in plan assets for the hourly pension plan:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Change in projected benefit obligation:
           
Projected benefit obligation at beginning of period
  $ 114,330     $ 99,425  
Service cost
    2,193       1,878  
Interest cost
    4,750       4,885  
Actuarial (gain) loss
    (10,710 )     12,183  
Curtailment
    (910 )      
Benefits paid
    (4,729 )     (4,041 )
Projected benefit obligation at end of period
    104,924       114,330  
Change in plan assets:
               
Fair value of assets at beginning of period
    67,760       63,896  
Actual return on plan assets
    13,536       6,758  
Employer contributions
    472       1,147  
Benefits paid
    (4,729 )     (4,041 )
Fair value of assets at end of period
    77,039       67,760  
Net (unfunded) status of plan
  $ (27,885 )   $ (46,570 )
 
We recognize the unfunded status (i.e., the difference between the fair value of plan assets and the projected benefit obligations) of our pension plan in our Consolidated Balance Sheets, with a corresponding adjustment to accumulated other comprehensive loss, net of tax. During fiscal 2012 and fiscal 2011 this amount was offset by a valuation allowance. On January 4, 2014, we measured the fair value of our plan assets and benefit obligations. As of January 4, 2014, and December 29, 2012, the net unfunded status of our benefit plan was $27.9 million and $46.6 million, respectively. These amounts were included in “Other non-current liabilities” on our Consolidated Balance Sheets. The net adjustment to other comprehensive loss for fiscal 2013, fiscal 2012, and fiscal 2011 was a $13.9 million gain ($22.8 million gain, net of tax of $8.9 million), $8.2 million loss ($8.2 million loss, net of tax, offset by a valuation allowance), $15.0 million loss ($15.0 million loss, net of tax, offset by a valuation allowance), respectively, which represents the net unrecognized actuarial gain (loss) and unrecognized prior service cost.
 
The decrease in the unfunded obligation for the period was approximately $18.7 million and was comprised of $10.7 million of actuarial gains, $13.5 million of asset returns, a decrease of $0.9 million to the liability related to freezing our non-union pension plan and $0.5 million of pension contributions.  These changes were offset by an increase in the projected benefit obligation of $6.9 million due to current year service and interest cost.  The main driver of the decrease in the liability related to the actuarial (gain) loss was the change in the underlying discount rate assumption which increased from 4.24% in fiscal 2012 to 5.00% in fiscal 2013.   The net periodic pension costs also increased to $4.6 million in fiscal 2013 from $3.9 million in fiscal 2012 and was primarily driven by an increase in the amortization of the actuarial loss attributable to the decrease in the discount rate from 5.02% in fiscal 2011 to 4.24% in 2012.
 
The freeze of the non-union pension plan resulted in a reduction in future years of service for the active participants in the plan, which triggered a curtailment.  An immaterial amount of unrecognized prior service costs were recognized in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013 as a result of this event.  In addition, there was a curtailment gain from the event which resulted in a decrease to the projected benefit obligation of $0.9 million.
 
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The unfunded status and the amounts recognized on our Consolidated Balance Sheets for the hourly pension plan are set forth in the following table:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Unfunded status                                                                                                                            
  $ (27,885 )   $ (46,570 )
Unrecognized prior service cost
    1       2  
Unrecognized actuarial loss
    14,656       37,459  
Net amount recognized
  $ (13,228 )   $ (9,109 )
Amounts recognized on the balance sheet consist of:
               
Accrued pension liability
    (27,885 )     (46,570 )
Accumulated other comprehensive loss (pre-tax)
    14,657       37,461  
Net amount recognized
  $ (13,228 )   $ (9,109 )
 
The portion of estimated net loss for the hourly pension plan that is expected to be amortized from accumulated other comprehensive loss into net periodic cost over the next fiscal year is $0.8 million. The expected amortization of prior service cost recognized into net periodic cost over the next fiscal year is immaterial.
 
The accumulated benefit obligation for the hourly pension plan was $103.7 million and $111.1 million at January 4, 2014, and December 29, 2012, respectively.
 
Net periodic pension cost for our pension plans included the following:
                         
   
Fiscal Year Ended
January 4,
2014
   
Fiscal Year Ended
December 29,
2012
   
Fiscal Year Ended
December 31,
2011
 
   
(In thousands)
 
Service cost                                                                                              
  $ 2,193     $ 1,878     $ 2,091  
Interest cost on projected benefit obligation
    4,750       4,885       4,609  
Expected return on plan assets
    (5,225 )     (4,897 )     (5,505 )
Amortization of unrecognized loss
    2,873       2,077       579  
Amortization of unrecognized prior service cost
                 
Net periodic pension cost
  $ 4,591     $ 3,943     $ 1,774  
 
The following assumptions were used to determine the projected benefit obligation at the measurement date and the net periodic pension cost:
                 
   
January 4,
2014
 
December 29,
2012
Projected benefit obligation:
           
Discount rate
    5.00 %     4.24 %
Average rate of increase in future compensation levels
 
Graded 5.5%-2.5
    3.00 %
Net periodic pension cost
               
Discount rate
    4.24 %     5.02 %
Average rate of increase in future compensation levels
    3.00 %     3.00 %
Expected long-term rate of return on plan assets
    7.85 %     7.85 %
 
Our estimates of the amount and timing of our future funding obligations for our defined benefit pension plans are based upon various assumptions specified above. These assumptions include, but are not limited to, the discount rate, projected return on plan assets, compensation increase rates, mortality rates, retirement patterns, and turnover rates.
 
As indicated in the table above, we used a discount rate of 5.00% to compute the projected benefit obligation, which was determined by the matching of plan liability cash flows to a portfolio of bonds.  A change in the discount rate of 25 basis points, from 5.00% to 5.25%, while holding all other assumptions constant, would have resulted in a reduction in the Company’s projected benefit obligation of approximately $3.1 million in 2013.
 
As indicated in the table above, we used an estimated rate of future compensation increases of graded 5.5% - 2.5% to compute the projected benefit obligation.  A change in the rate of 25 basis points, from graded 5.5% - 2.5% to graded 5.75% - 2.75%, while holding all other assumptions constant, would have resulted in an increase in the Company’s projected benefit obligation of less than $0.1 million in 2013.
 
Determination of expected long-term rate of return
 
In developing expected return assumptions for our pension plan, the most influential decision affecting long-term portfolio performance is the determination of overall asset allocation. An asset class is a group of securities that exhibit similar characteristics and behave similarly in the marketplace. The three main asset classes are equities, fixed income, and cash equivalents.
 
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Upon calculation of the historical risk premium for each asset class, an expected rate of return can be established based on assumed 90-day Treasury bill rates. Based on the normal asset allocation structure of the portfolio (65% equities, 30% fixed income, and 5% other) with historical compound annualized risk free rate of 3.78%, the expected overall portfolio return is 8.35% offset by 0.5% expense estimate resulting in a 7.85% net long term rate of return as of January 4, 2014.
 
Our percentage of fair value of total assets by asset category as of our measurement date is as follows:
                   
Asset Category
 
 
January 4,
2014
   
December 29,
2012
 
Equity securities — domestic                                                                                                                            
    55 %     56 %
Equity securities — international
    16 %     9 %
Fixed income
    24 %     31 %
Other
    5 %     4 %
Total
    100 %     100 %
 
The fair value of our plan assets by asset category as of January 4, 2014 was as follows (in thousands):
           
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 42,710  
Equity securities — international
    12,067  
Fixed income
    18,836  
Other
    3,426  
Total
  $ 77,039  
 
The fair value of our plan assets by asset category as of December 29, 2012 was as follows (in thousands):
           
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 37,623  
Equity securities — international
    6,304  
Fixed income
    20,848  
Other
    2,985  
Total
  $ 67,760  
 
The plan assets are valued using quoted market prices in active markets and we consider the investments to be Level 1 in the fair value hierarchy.  See Note 13 for a discussion of the levels of inputs to determine fair value.
 
Investment policy and strategy
 
Plan assets are managed as a balanced portfolio comprised of two major components: an equity portion and a fixed income portion. The expected role of plan equity investments will be to maximize the long-term real growth of fund assets, while the role of fixed income investments will be to generate current income, provide for more stable periodic returns, and provide some downside protection against the possibility of a prolonged decline in the market value of equity investments. We review this investment policy statement at least once per year. In addition, the portfolio will be reviewed quarterly to determine the deviation from target weightings and will be rebalanced as necessary. Target allocations for fiscal 2014 are 50% domestic and 15% international equity investments, 30% fixed income investments, and 5% cash. The expected long-term rate of return for the plan’s total assets is based on the expected return of each of the above categories, weighted based on the target allocation for each class.
 
Our estimated future benefit payments reflecting expected future service are as follows (in thousands):
           
Fiscal Year Ending
   
(In thousands)
 
January 3, 2015
    4,998  
January 2, 2016
    5,332  
December 31, 2016
    5,641  
December 30, 2017
    5,914  
December 29, 2018
    6,206  
Thereafter
    34,372  
 
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The Company’s minimum required contribution for plan year 2012 was $3.2 million.  In an effort to preserve additional cash for operations, we applied for a waiver from the Internal Revenue Service (“IRS”) for our 2012 minimum required contribution.  Although the Company’s outside counsel has been notified by the IRS that its waiver request has been preliminarily approved and that the IRS is in the process of finalizing the waiver request, no assurances can be provided that the waiver request will be granted until the Company receives final approval from the IRS.  If we are granted the requested waiver, our contributions for 2012 will be amortized over the following five years, increasing our future minimum required contributions. 
 
The Company’s minimum required contribution for plan year 2013 was estimated to be $6.0 million, assuming we receive the requested waiver.   During the second quarter of fiscal 2013, we contributed certain qualifying employer real property to the hourly pension plan. The properties, including certain land and buildings, are located in Charleston, S.C. and Buffalo, N.Y., and were valued at approximately $6.8 million by independent appraisals prior to the contribution.  The contribution was recorded by the hourly pension plan at the fair market value of $6.8 million.  We are leasing back the contributed properties for an initial term of twenty years with two five-year extension options and continue to use the properties in our distribution operations.  Each lease provides us a right of first refusal on any subsequent sale by the hourly pension plan and a repurchase option.  The hourly pension plan engaged an independent fiduciary who evaluated the transaction on behalf of the hourly pension plan, negotiated the terms of the property contribution and the leases, and also manages the properties on behalf of the hourly pension plan.  Depending on whether the 2012 waiver is granted, portions of the property contribution may be designated to either the 2012 or 2013 plan year.  If the waiver is not granted, it may be necessary to contribute an additional $2.2 million on or before September 15, 2014 to fully satisfy the 2012 and 2013 minimum required contributions.
 
We determined that the contribution of the properties does not meet the accounting definition of a plan asset within the scope of relevant accounting guidance.  Accordingly, the contributed properties are not considered a contribution for financial reporting purposes and, as a result, are not included in plan assets and have no impact on the net pension liability recorded on our Consolidated Balance Sheets.  We continue to depreciate the carrying value of the properties in our financial statements, and no gain or loss was recognized at the contribution date for financial reporting purposes.  Rent payments will be made on a monthly basis and will be recorded as contributions to the hourly pension plan, of which $0.5 million has been recorded as of January 4, 2014.  These rental payments will reduce our unfunded obligation to the hourly pension plan.
 
We currently are required to make three quarterly cash contributions during fiscal 2014 of $1.5 million each related to our 2014 minimum required contribution.
 
Defined Contribution Plans
 
Our employees also participate in several defined contribution plans. Contributions to the plans are based on employee contributions and compensation. Contributions to the hourly defined contribution plan totaled $0.1 million, $0.1 million, and $0.1 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively. During fiscal 2009, we suspended the Company matching contributions to our defined salaried contribution plan as part of our cost reduction initiatives.  The Company match was reinstated on January 1, 2012. Contributions to the salaried defined contribution plan totaled $1.1 million and $1.0 million for fiscal 2013 and fiscal 2012, respectively.
 
9. Inventory Reserve Accounts
 
The following reflects our activity for inventory reserve accounts (in thousands):
                                 
   
Beginning
Balance
   
Expense
   
Write-offs and
Other, net
   
Ending
Balance
 
Fiscal 2011
                       
Obsolescence/damaged inventory reserve
  $ 1,670     $ 2,309     $ (2,487 )   $ 1,492  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2012
                               
Obsolescence/damaged inventory reserve
  $ 1,492     $ 3,625     $ (3,991 )   $ 1,126  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2013
                               
Obsolescence/damaged inventory reserve
  $ 1,126     $ 4,783     $ (4,111 )   $ 1,798  
Lower of cost or market reserve
  $     $ 3,843     $ (3,843 )   $  
 
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10. Revolving Credit Facilities
 
We have our U.S. revolving credit facility agreement (the “U.S. revolving credit facility”) with Wells Fargo Bank, National Association, successor by merger to Wachovia Bank, National Association, dated August 4, 2006, as amended.  The U.S. revolving credit facility has a final maturity of April 15, 2016 and maximum available credit of $447.5 million.  The U.S. revolving credit facility also includes an additional $75 million uncommitted accordion credit facility, which permits us to increase the maximum available credit up to $522.5 million.
 
On June 28, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted.  The most significant of the changes included in the amendment is the addition of PNC Bank, National Association (“PNC”) as a lender and their additional loan commitment of $25.0 million, which increased the maximum availability of the U.S. revolving credit facility to $447.5 million.  The new terms of this amended agreement are described in this footnote.  In conjunction with this amendment, we incurred $0.1 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 29, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted.  The most significant of the changes included in the amendment are extending the final maturity of the U.S. revolving credit facility, increasing the maximum available credit under the facility and adjusting the excess availability threshold calculation.  In conjunction with this amendment, we incurred $2.8 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 27, 2013, we concluded the 2013 Rights Offering. The 2013 Rights Offering was fully subscribed and resulted in net proceeds of approximately $38.6 million. Remaining expenses to be paid related to the 2013 Rights Offering as of January 4, 2014 totaled $0.1 million. We issued 22.9 million shares of stock to our stockholders in conjunction with the 2013 Rights Offering.
 
On July 22, 2011, we concluded an offering of our common stock to our stockholders (the “2011 Rights Offering”).  The 2011 Rights Offering was fully subscribed and resulted in net proceeds of approximately $58.0 million.  We issued 28.6 million shares of stock to our stockholders in conjunction with the 2011 Rights Offering.
 
As of January 4, 2014, we had outstanding borrowings of $207.9 million and excess availability of $44.5 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 3.7% at January 4, 2014.   As of December 29, 2012, we had outstanding borrowings of $169.5 million and excess availability of $86.0 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 4.1% at December 29, 2012.  As of January 4, 2014 and December 29, 2012, we had outstanding letters of credit totaling $3.6 million and $4.5 million, respectively, for the purposes of securing collateral requirements under casualty insurance programs and for guaranteeing lease and certain other obligations. The $3.6 million in outstanding letters of credit as of January 4, 2014 does not include an additional $1.5 million fully collateralized letter of credit securing certain insurance obligations that was issued outside of the U.S. revolving credit facility.
 
As of January 4, 2014, our U.S. revolving credit facility, as amended, contains customary negative covenants and restrictions for asset based loans, including a requirement that we maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the “Excess Availability Threshold”).  The fixed charge coverage ratio is calculated as EBITDA divided by the sum of cash payments for income taxes, interest expense, cash dividends, principal payments on debt, and capital expenditures.  EBITDA is defined as BlueLinx Corporation’s net income before interest and tax expense, depreciation and amortization expense, and other non-cash charges.  The fixed charge coverage ratio requirement only applies to us when excess availability under our amended U.S. revolving credit facility is less than the Excess Availability Threshold on any date. As of January 4, 2014 and through the time of the filing of this Form 10-K, we were in compliance with all covenants under the U.S. revolving credit facility.  We are required to maintain the Excess Availability Threshold in order to avoid being required to meet certain financial ratios and triggering additional limits on capital expenditures.  Our lowest level of fiscal month-end availability in the last three years as of January 4, 2014 was $44.5 million, which is the excess availability as of that date.  We do not anticipate our excess availability in fiscal 2014 will drop below the Excess Availability Threshold.  Should our excess availability fall below the Excess Availability Threshold on any date, however, we would not meet the required fixed charge coverage ratio covenant with our current operating results.
 
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 In the event that excess availability falls below $37.1 million or the amount equal to 15% of the lesser of the borrowing base or $447.5 million, the U.S. revolving credit facility gives the lenders the right to dominion of our bank accounts.  This would not make the underlying debt callable by the lender and may not change our ability to borrow on the U.S. revolving credit facility.  However, we would be required to reclassify the “Long-term debt” to “Current maturities of long-term debt” on our Consolidated Balance Sheet.  In addition, we would be required to maintain a springing lock-box arrangement where customer remittances go directly to a lock-box maintained by our lenders and then are forwarded to our general bank accounts.  Our outstanding borrowings are not reduced by these payments unless our excess availability falls below the greater of $35 million or the amount equal to 15% of the lesser of the borrowing base or $400 million on any date or in the event of default.  Our amended U.S. revolving credit facility does not contain a subjective acceleration clause, which would allow our lenders to accelerate the scheduled maturities of our debt or to cancel our agreement.
 
On August 16, 2013, we entered into an amendment to our Canadian revolving credit facility (the “Canadian revolving credit facility”), which became effective on that date.  The Amendment modifies the maturity date under the Credit Agreement to the earlier of (i) August 12, 2016 or the (ii) maturity date of the U.S. revolving credit facility.  All other terms of the Canadian revolving credit facility remain the same.
 
As of January 4, 2014, we had outstanding borrowings of $3.3 million and excess availability of $1.3 million under the terms of our Canadian revolving credit facility.  As of December 29, 2012, we had outstanding borrowings of $1.9 million and excess availability of $2.0 million under the terms of our Canadian revolving credit facility.  The interest rate on the Canadian revolving credit facility was 4.0% at January 4, 2014 and December 29, 2012.  The Canadian revolving credit facility contains customary covenants and events of default for asset-based credit agreements of this type, including the requirement for BlueLinx Canada to maintain a minimum adjusted tangible net worth of $3.9 million and for that entity’s capital expenditures not to exceed 120% of the amount budgeted in a given year.  As of January 4, 2014 and through the time of the filing of this Form 10-K, we were in compliance with all covenants under this facility
 
11. Mortgage
 
We have a $295 million mortgage loan with the German American Capital Corporation. The mortgage has a term of ten years and is secured by 50 distribution facilities. The stated interest rate on the mortgage is fixed at 6.35%. German American Capital Corporation assigned half of its interest in the mortgage loan to Wachovia Bank, National Association and both lenders securitized their Notes in separate commercial mortgage backed securities pools in 2006. As of January 4, 2014 and December 29, 2012, the balance on our mortgage loan was $186.9 million and $206 million, respectively.
 
On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement without incurring a prepayment premium from cash currently held as collateral under the mortgage agreement.  In addition, on the last business day of each calendar quarter, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement will be used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million.  Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, will be released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014.  All funds released pursuant to these provisions may only be used by the Company to pay for usual and customary operating expenses.  During the periods described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement.  Under the terms of our mortgage, we are required to transfer certain funds to be held as collateral. Approximately $6.3 million of funds held in collateral were used to prepay indebtedness under the mortgage agreement during fiscal 2013.  Approximately $2.7 million of cash held in collateral were released to the Company during fiscal 2013 to pay for usual and customary operating expenses.  We expect to transfer approximately $13.2 million as collateral during the next twelve month period, approximately $7.3 million of which will be remitted to us on a quarterly basis to pay for usual and customary operating expenses.  In conjunction with the modification of our mortgage agreement we incurred approximately $0.3 million in fees that were capitalized and are being amortized over the remaining term of the mortgage.
 
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During the third quarter of fiscal 2013, we sold our sales center in Denver, Colorado and increased the restricted cash related to our mortgage by $8.4 million, which represents the allocated mortgage related to the property.  During the fourth quarter of fiscal 2013, we sold our Sioux Falls, South Dakota facility and increased the restricted cash related to our mortgage by $1.9 million, which represents the allocated mortgage related to the property.  This restricted cash for both locations was used to pay down the outstanding principal of the mortgage in the fourth quarter of fiscal 2013.  During the first quarter of fiscal 2012, we sold certain parcels of excess land. As a result of the sale of one of these parcels, we increased the amount of restricted cash required to be held in connection with our mortgage by $0.3 million. In addition, during the third quarter of fiscal 2012, we sold our facility in Fremont, California and increased the restricted cash related to our mortgage by $12.8 million.  This restricted cash was used to pay down the mortgage in the fourth quarter of fiscal 2012.
 
The mortgage loan required interest-only payments through June 2011, at which time we began making payments on the outstanding principal balance. The balance of the loan outstanding at the end of ten years will then become due and payable. The principal will be paid in the following increments (in thousands):
         
2014
  $ 2,761  
2015
    2,744  
2016
    181,438  
2017
     
2018
     
Thereafter
     
Total
  $ 186,943  
 
12.  Derivatives
 
On June 12, 2006, we entered into an interest rate swap agreement with Goldman Sachs Capital Markets, to hedge against interest rate risks related to our variable rate U.S. revolving credit facility. The interest rate swap was terminated in March of 2011. Due to the termination of the swap in fiscal 2011, the fair value of the swap as of December 31, 2011 was zero. Changes associated with the ineffective interest rate swap recognized in the Consolidated Statement s of Operations and Comprehensive Loss for fiscal 2011 were approximately $1.7 million of income and were comprised of amortization of the remaining accumulated other comprehensive loss of the ineffective swap of $0.5 million offset by income of $2.2 million related to reducing the fair value of the ineffective interest rate swap liability to zero.
 
13. Fair Value Measurements
 
We determine a fair value measurement based on the assumptions a market participant would use in pricing an asset or liability.  The fair value measurement guidance established a three level hierarchy making a distinction between market participant assumptions based on (i) unadjusted quoted prices for identical assets or liabilities in an active market (Level 1), (ii) quoted prices in markets that are not active or inputs that are observable either directly or indirectly for substantially the full term of the asset or liability (Level 2), and (iii) prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement (Level 3).
 
 Carrying amounts for our financial instruments are not significantly different from their fair value, with the exception of our mortgage.  To determine the fair value of our mortgage, we used a discounted cash flow model. We believe the mortgage fair value valuation to be Level 2 in the fair value hierarchy, as the valuation model has inputs that are observable for substantially the full term of the liability. Assumptions critical to our fair value measurements in the period are present value factors used in determining fair value and an interest rate.  At January 4, 2014, the discounted carrying value and fair value of our mortgage was $186.9 million and $186.6 million, respectively.  At December 29, 2012, the discounted carrying value and fair value of our mortgage was $206.0 million and $205.5 million, respectively.
 
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14. Related Party Transactions
 
Cerberus Capital Management, L.P., our equity sponsor, retains consultants that specialize in operations management and support and who provide Cerberus with consulting advice concerning portfolio companies in which funds and accounts managed by Cerberus or its affiliates have invested. From time to time, Cerberus makes the services of these consultants available to Cerberus portfolio companies. We believe that the terms of these consulting arrangements are favorable to us, or, alternatively, are materially consistent with those terms that would have been obtained by us in an arrangement with an unaffiliated third party. We have normal service, purchase and sales arrangements with other entities that are owned or controlled by Cerberus. We believe that these transactions are not material to our results of operations or financial position. 
 
In connection with the 2013 Rights Offering, Cerberus ABP Investor LLC (“Cerberus”), the Company’s majority shareholder, exercised all of the rights issued to it and subscribed for the maximum additional shares pursuant to the over-subscription privilege that it was entitled to purchase.
 
15. Commitments and Contingencies
 
Self-Insurance
 
It is our policy to self-insure, up to certain limits, traditional risks including workers’ compensation, comprehensive general liability, and auto liability. Our self-insured deductible for each claim involving workers’ compensation, and auto liability is limited to $0.8 million and $2.0 million, respectively. Our self-insured retention for each claim involving comprehensive general liability (including product liability claims) is limited to $0.8 million.  We are also self-insured up to certain limits for certain other insurable risks, primarily physical loss to property, excluding natural catastrophes  ($0.1 million per occurrence), Director and Officer ($0.8 million per occurrence) and the majority of our medical benefit plans ($0.3 million per occurrence). Insurance coverage is maintained for catastrophic property and casualty exposures as well as those risks required to be insured by law or contract. A provision for claims under this self-insured program, based on our estimate of the aggregate liability for claims incurred, is revised and recorded annually. The estimate is derived from both internal and external sources including but not limited to actuarial estimates. The actuarial estimates are subject to uncertainty from various sources, including, among others, changes in claim reporting patterns, claim settlement patterns, judicial decisions, legislation, and economic conditions. Although, we believe that the actuarial estimates are reasonable, significant differences related to the items noted above could materially affect our self-insurance obligations, future expense and cash flow. At January 4, 2014, and December 29, 2012, the self-insurance reserves totaled $6.9 million and $7.2 million, respectively. We incurred $11.7 million in expense and $12.0 million in payments, net of reimbursements in fiscal 2013 related to our workers compensation, auto, general liability and health and welfare reserves. We incurred $10.7 million in expense and $11.1 million in payments, net of reimbursements in fiscal 2012 related to our workers compensation, auto, general liability and health and welfare reserves.
 
Operating Leases
 
Total rental expense was approximately $4.8 million for fiscal 2013, fiscal 2012, and fiscal 2011.
 
At January 4, 2014, our total commitments under long-term, non-cancelable operating leases were as follows (in thousands):
         
2014
  $ 4,391  
2015
    3,968  
2016
    4,036  
2017
    4,060  
2018
    3,498  
Thereafter
    10,060  
Total
  $ 30,013  
 
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Certain of our operating leases have extension options and escalation clauses.
 
Capital Leases
 
We entered into certain capital leases for trucks and trailers during fiscal 2013, fiscal 2012 and fiscal 2011. These capital leases have  maturities of 5 to 6 years. As of January 4, 2014, the basis and net book value of assets under capital leases was $15.4 million and $11.1 million, respectively. As of December 29, 2012, the basis and net book value of assets under capital leases was $10.3 million and $9.3 million, respectively. As of December 31, 2011, the basis and net book value of assets under capital leases was $5.0 million and $4.0 million, respectively. Depreciation expense for assets under capital leases is included in the total depreciation expense disclosed in the Consolidated Statements of Operations and Comprehensive Loss.
 
At January 4, 2014, our total commitments under long-term, non-cancelable capital leases were as follows (in thousands):
                 
   
Principal
   
Interest
 
             
2014
  $ 1,753     $ 509  
2015
    1,847       399  
2016
    1,746       273  
2017
    1,342       186  
2018
    1,406       95  
Thereafter
    604       20  
Total
  $ 8,698     $ 1,482  
 
Executory costs are nominal for each of the years presented.
 
Environmental and Legal Matters
 
From time to time, we are involved in various proceedings incidental to our businesses, and we are subject to a variety of environmental and pollution control laws and regulations in all jurisdictions in which we operate. Although the ultimate outcome of these proceedings cannot be determined with certainty, based on presently available information management believes that adequate reserves have been established for probable losses with respect thereto. Management further believes that the ultimate outcome of these matters could be material to operating results in any given quarter but will not have a materially adverse effect on our long-term financial condition, our results of operations, or our cash flows.
 
Collective Bargaining Agreements
 
As of January 4, 2014, approximately 33% of our employees were represented by various labor unions.  As of January 4, 2014, we had 36 collective bargaining agreements, of which 5 are up for renewal in fiscal 2014.  We consider our relationship with our employees generally to be good.
 
16.  Subsequent Events
 
We are not aware of any additional significant events that occurred subsequent to the balance sheet date but prior to the filing of this report that would have a material impact on our Consolidated Financial Statements.
 
17. Accumulated Other Comprehensive Loss
 
Comprehensive income (loss) is a measure of income which includes both net loss and other comprehensive income (loss). Other comprehensive income (loss) results from items deferred from recognition into our Consolidated Statements of Operations and Comprehensive Loss . Accumulated other comprehensive loss is separately presented on our Consolidated Balance Sheets as part of common stockholders’ deficit. Other comprehensive income (loss) was $13.7 million, $(8.1) million, and $(14.5) million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
68

 
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2013 were as follows (in thousands):

 
    Foreign
currency, net
of tax
  Defined
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  
Other comprehensive loss (income) before reclassification, net of tax
      (161 )                       (161 )  
Amounts reclassified from accumulated other comprehensive loss, net of tax
              13,910                 13,910    
Current-period other comprehensive (loss) income, net of tax 
      (161 )       13,910                 13,749    
Ending balance, net of tax
    $ 1,636       $ (18,141 )     $ 212       $ (16,293 )  

The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2012 were as follows (in thousands):

 
    Foreign
currency, net
of tax
  Defined
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
Current-period other comprehensive income (loss) net of tax 
      103         (8,245 )               (8,142 )  
Ending balance, net of tax
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  

The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2011 were as follows (in thousands):

 
 
 
    Foreign
currency, net
of tax
  Defined
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,786       $ (8,837 )     $ (307 )     $ (7,358 )  
Current-period other comprehensive (loss) income, net of tax 
      (92 )       (14,969 )       519         (14,542 )  
Ending balance, net of tax
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
 
Reclassifications out of accumulated other comprehensive loss into the Consolidated Statements of Operations and Comprehensive Loss for fiscal 2013 were as follows (in thousands):
             
 
 
 Details about accumulated other comprehensive
loss components
  Amount reclassified from
accumulated other
comprehensive loss
 
Affected line item in the
statement where net
income is presented
Amortization of defined benefit pension items:
           
Actuarial gain
    $ 22,804    
Total before tax (1)
Tax impact 
      8,894    
Tax impact (2)
Total, net of tax
    $ 13,910    
Net of tax
 
(1) This accumulated other comprehensive loss component is included in the computation of net periodic pension cost. Refer to Note 8 of the Notes to Consolidated Financial Statements for the required disclosures.
 
(2) We allocated income tax expense to accumulated other comprehensive loss to the extent income was recorded in accumulated other comprehensive loss and we have a loss from continuing operations. Refer to Note 5 of the Notes to Consolidated Financial Statements for the required disclosures.
 
There were no reclassifications out of accumulated other comprehensive loss for fiscal 2012 and fiscal 2011 due to the fact that there was no intraperiod income tax allocation and the deferred tax benefit was fully offset by a valuation allowance.
 
69

 
 
18. Unaudited Selected Quarterly Financial Data
 
Fiscal 2013 contained 53 weeks.  Fiscal 2012 and fiscal 2011 each contained 52 weeks.  Our fiscal quarters are based on a 5-4-4 week period, with the exception of the fourth fiscal quarter of fiscal years containing 53 weeks, which are based on a 5-4-5 week period.
                                                                 
    First Quarter     Second Quarter     Third Quarter     Fourth Quarter  
    Three Months     Three Months     Three Months     Three Months    
Three Months
   
Three Months
   
Three Months
   
Three Months
 
    Ended     Ended     Ended     Ended    
Ended
   
Ended
   
Ended
   
Ended
 
    March 30,     March 31,     June 29,     June 30,    
September 28,
   
September 29,
   
January 4,
   
December 29,
 
    2013(a)     2012(b)     2013(c)     2012(d)    
2013(e)
   
2012(f)
     2014(g)    
2012(h)
 
     
(In thousands, except per share amounts)
 
Net sales
  $ 503,153     $ 453,708     $ 604,592     $ 517,026     $ 557,952     $ 496,810     $ 486,275     $ 440,298  
Gross profit
    56,458       54,232       55,185       63,188       62,492       60,531       54,348       52,119  
Operating expenses:
                                                               
Selling, general and administrative
    58,760       56,644       61,201       57,564       58,176       57,307       55,627       54,842  
Gain from property insurance settlement
                      (476 )                        
(Gain) loss from sale of properties
    (230 )     (578 )           48       (3,679 )     (9,151 )     (1,311 )     (204 )
Restructuring and other charges
    889             7,309             2,758             1,167        
                                                                 
Depreciation and amortization
    2,173       2,260       2,229       2,187       2,144       2,106       2,571       2,012  
Operating (loss) income
    (5,134 )     (4,094 )     (15,554 )     3,865       3,093       10,269       (3,706 )     (4,531 )
Non-operating expenses:
                                                               
Interest expense
    7,192       6,782       6,916       7,325       6,918       7,294       6,998       6,756  
Other expense (income)
    110       (62 )     128       49       17       (16 )     50       22  
(Benefit from) provision for income taxes
    (4,637 )     (3,969 )     (9,105 )     (1,157 )     (2,134 )     1,078       (12,491 )     (4,305 )
Tax valuation allowance
    4,850     4,174       8,813     1,354       1,498     (1,155 )     4,194     4,366  
Net (loss) income
  $ (12,649 )   $ (11,019 )   $ (22,306 )   $ (3,706 )   $ (3,206 )   $ 3,068     $ (2,457 )   $ (11,370 )
Basic and diluted weighted average number of common shares outstanding
    66,714       65,368       84,167       65,471       84,596       65,473       84,818       65,494  
Basic and diluted net (loss) income per share applicable to common shares
  $ (0.19 )   $ (0.17 )   $ (0.27 )   $ (0.06 )   $ (0.04 )   $ 0.04     $ (0.03 )   $ (0.17 )
   
 
(a)
During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(b)
During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(c)
During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(d)
During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(e)
During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(f)
During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
   
(g)
During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(h)
During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
 
70

 

 

 
19.  Supplemental Condensed Consolidating Financial Statements
 
The condensed consolidating financial information as of January 4, 2014, and December 29, 2012 and for fiscal 2013, fiscal 2012, and fiscal 2011 is provided due to restrictions in our revolving credit facility that limit distributions by BlueLinx Corporation, our operating company and our wholly-owned subsidiary, to us, which, in turn, may limit our ability to pay dividends to holders of our common stock (see Note 10, Revolving Credit Facility, for a more detailed discussion of these restrictions and the terms of the facility). Also included in the supplemental condensed consolidated/combining financial statements are fifty-three single member limited liability companies, which are wholly owned by us (the “LLC subsidiaries”). The LLC subsidiaries own certain warehouse properties that are occupied by BlueLinx Corporation, each under the terms of a master lease agreement. The warehouse properties collateralize a mortgage loan and are not available to satisfy the debts and other obligations of either us or BlueLinx Corporation. Certain changes have been made to the prior year presentation to conform to the current year presentation.
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 2,151,972     $ 27,363     $ (27,363 )   $ 2,151,972  
Cost of sales
          1,923,489                   1,923,489  
Gross profit
          228,483       27,363       (27,363 )     228,483  
Operating expenses (income):
                                       
Selling, general and administrative
    5,913       267,232       (5,115 )     (27,363 )     240,667  
Depreciation and amortization
          5,700       3,417             9,117  
Total operating expenses (income)
    5,913       272,932       (1,698 )   (27,363 )     249,784  
Operating (loss) income
    (5,913 )     (44,449 )     29,061             (21,301 )
Non-operating expenses:
                                       
Interest expense
          13,686       14,338             28,024  
Other expense (income), net
          318       (12 )           306  
(Loss) income before provision for (benefit from) income taxes
    (5,913 )     (58,453 )     14,735             (49,631 )
Provision for (benefit from) income taxes
    (157 )     (9,248 )     392             (9,013 )
Equity in (loss) income of subsidiaries
    (34,862 )                 34,862        
Net (loss) income
  $ (40,618 )   $ (49,205 )   $ 14,343     $ 34,862     $ (40,618 )
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,907,842     $ 28,330     $ (28,330 )   $ 1,907,842  
Cost of sales
          1,677,772                   1,677,772  
Gross profit
          230,070       28,330       (28,330 )     230,070  
Operating expenses (income):
                                       
Selling, general and administrative
    3,940       250,098       (9,712 )     (28,330 )     215,996  
Depreciation and amortization
          5,040       3,525             8,565  
Total operating expenses (income)
    3,940       255,138       (6,187 )     (28,330 )     224,561  
Operating (loss) income
    (3,940 )     (25,068 )     34,517             5,509  
Non-operating expenses:
                                       
Interest expense
          12,159       15,998             28,157  
Other expense (income), net
          10       (17 )           (7 )
(Loss) income before provision for income taxes
    (3,940 )     (37,237 )     18,536             (22,641 )
Provision for income taxes 
    386                           386  
Equity in (loss) income of subsidiaries
    (18,701 )                 18,701        
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
 
71

 

 

 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,755,431     $ 29,665     $ (29,665 )   $ 1,755,431  
Cost of sales
          1,545,282                   1,545,282  
Gross profit
          210,149       29,665       (29,665 )     210,149  
Operating expenses (income):
                                       
Selling, general and administrative
    3,728       244,398       (10,604 )     (29,665 )     207,857  
Depreciation and amortization
          6,790       3,772             10,562  
Total operating expenses (income)
    3,728       251,188       (6,832 )     (29,665 )     218,419  
Operating (loss) income
    (3,728 )     (41,039 )     36,497             (8,270 )
Non-operating expenses:
                                       
Interest expense
          12,528       17,982             30,510  
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Other expense (income), net
          516       (15 )           501  
(Loss) income before provision for income taxes
    (3,728 )     (52,407 )     18,530             (37,605 )
Provision for income taxes 
    459       503                   962  
Equity in (loss) income of subsidiaries
    (34,380 )                 34,380        
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
 
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of January 4, 2014 follows (in thousands):
                                         
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 47     $ 4,987     $     $     $ 5,034  
Receivables
          150,297                   150,297  
Inventories
          223,580                   223,580  
Deferred income tax asset, net
                397       (397 )      
Other current assets
    790       20,208       1,816             22,814  
Intercompany receivable
    68,454       26,374             (94,828 )      
Total current assets
    69,291       425,446       2,213       (95,225 )     401,725  
Property and equipment:
                                       
Land and land improvements
          4,040       37,136             41,176  
Buildings
          10,839       79,243             90,082  
Machinery and equipment
          73,004                   73,004  
Construction in progress
          3,028                   3,028  
Property and equipment, at cost
          90,911       116,379             207,290  
Accumulated depreciation
          (64,557 )     (31,614 )           (96,171 )
Property and equipment, net
          26,354       84,765             111,119  
Investment in subsidiaries
    (47,735 )                 47,735        
Non-current deferred income tax assets, net
          1,221           (397 )     824  
Other non-current assets
          11,768       4,810             16,578  
Total assets
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 1,080     $ 59,283     $     $       60,363  
Bank overdrafts
          19,377                   19,377  
Accrued compensation
          4,173                   4,173  
Current maturities of long-term debt
                9,141             9,141  
Deferred income tax liabilities, net
          1,220           (397 )     823  
Other current liabilities
          11,727       1,222             12,949  
Intercompany payable
    26,374       68,454             (94,828 )      
Total current liabilities
    27,454       164,234       10,363       (95,225 )     106,826  
Non-current liabilities:
                                       
Long-term debt
          211,193       177,802             388,995  
Non-current deferred income taxes
                397       (397      
Other non-current liabilities
          40,323                   40,323  
Total liabilities
    27,454       415,750       188,562       (95,622 )     536,144  
Stockholders’ (deficit) equity/Parent’s Investment
    (5,898 )     49,039       (96,774 )     47,735     (5,898 )
Total liabilities and (deficit) equity
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
 
72

 

 

 
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of December 29, 2012 follows (in thousands):
                                         
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 28     $ 5,160     $     $     $ 5,188  
Receivables
          157,465                   157,465  
Inventories
          230,059                   230,059  
Other current assets
    1,596       17,790       41             19,427  
Intercompany receivable
    73,981       28,814             (102,795 )      
Total current assets
    75,605       439,288       41       (102,795 )     412,139  
Property and equipment:
                                       
Land and land improvements
          3,250       39,870             43,120  
Buildings
          10,213       83,857             94,070  
Machinery and equipment
          78,674                   78,674  
Construction in progress
          1,173                   1,173  
Property and equipment, at cost
          93,310       123,727             217,037  
Accumulated depreciation
          (71,583 )     (30,101 )           (101,684 )
Property and equipment, net
          21,727       93,626             115,353  
Investment in subsidiaries
    (67,053 )                 67,053        
Non-current deferred income tax assets, net
          445                   445  
Other non-current assets
          10,646       6,153             16,799  
Total assets
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 203     $ 77,257     $ 390     $       77,850  
Bank overdrafts
          35,384                   35,384  
Accrued compensation
    127       6,043                   6,170  
Current maturities of long-term debt
                8,946             8,946  
Deferred income tax liabilities, net
          449                   449  
Other current liabilities
          9,831       1,106             10,937  
Intercompany payable
    28,814       73,981             (102,795 )      
Total current liabilities
    29,144       202,945       10,442       (102,795 )     139,736  
Non-current liabilities:
                                       
Long-term debt
          171,412       197,034             368,446  
Other non-current liabilities
          57,146                   57,146  
Total liabilities
    29,144       431,503       207,476       (102,795 )     565,328  
Stockholders’ (deficit) equity/Parent’s Investment
    (20,592 )     40,603       (107,656 )     67,053       (20,592 )
Total liabilities and (deficit) equity
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
 
73

 

 

 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
Eliminations
   
Consolidated
 
Cash flows from operating activities:                         
Net (loss) income   $(40,618)  $(49,205)  $14,343   $34,862   $(40,618)
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                         
Depreciation and amortization        5,700    3,417        9,117 
Amortization of debt issue costs        1,841    1,343        3,184 
Write-off of debt issuance costs        119            119 
Loss (gain) from sale of properties        554    (5,774)       (5,220)
Gain from property insurance settlement                     
Vacant property charges, net        1,321            1,321 
Severance charges        5,607            5,607 
Payments on modification of lease agreement        (300)           (300)
Deferred income tax benefit        (5)   (397)    397    (5)
Intraperiod income tax allocation related to the hourly pension plan        (8,894 )             (8,894 )
Pension expense      4,591           4,591 
Share-based compensation, excluding restructuring related    904    2,318            3,222 
Share-based compensation, restructuring related        2,895            2,895 
Increase in restricted cash related to insurance and other        (1,810)           (1,810)
Accrued compensation and other    684     (10,064 )    625    (397)     (9,152 )
Equity (deficit) in earnings of subsidiaries    34,862            (34,862)    
Intercompany receivable    5,527    2,440        (7,967)    
Intercompany payable    (2,440)   (5,527)       7,967     
    (1,081 )   (48,419 )   13,557        (35,943)
Changes in primary working capital components:                         
Receivables        7,168            7,168 
Inventories        6,479            6,479 
Accounts payable    779    (17,973)   (391)       (17,585)
Net cash (used in) provided by operating activities    (302)   (52,745)   13,166        (39,881)
Cash flows from investing activities:                         
Investment in subsidiaries    (35,202)   38,663    (3,461)        
Property, plant and equipment investments        (4,912)           (4,912)
Proceeds from disposition of assets        1,072    9,293        10,365 
Net cash provided by (used in) investing activities    (35,202)   34,823    5,832        5,453 
Cash flows from financing activities:                         
Excess tax benefits from share-based compensation arrangements        16            16 
Repurchase of shares to satisfy employee tax withholdings    (3,192)               (3,192)
Repayments on revolving credit facilities        (560,186)           (560,186)
Borrowings on revolving credit facilities        599,968            599,968 
Payments of principal on mortgage            (19,038)       (19,038)
Payments on capital lease obligations        (3,142)           (3,142)
(Decrease) increase in bank overdrafts        (16,007)           (16,007)
Increase in restricted cash related to the mortgage            40        40 
Proceeds from rights offering, less expenses paid    38,715                38,715 
Debt issuance costs        (2,900)           (2,900)
Net cash provided by (used in) financing activities    35,523    17,749    (18,998)        34,274
Increase (decrease) in cash    19    (173)           (154)
Balance, beginning of period    28    5,160            5,188 
Balance, end of period   $47   $4,987   $   $   $5,034 
Supplemental cash flow information:                         
Net income tax refunds (income taxes paid) during the period   $   $(61

  $(271)  $   $(332)
Interest paid during the period   $13,480   $11,226   $   $   $24,706 
                          
Noncash transactions:                         
Capital leases  $   $5,069   $   $   $5,069 
 
74

 

 

 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
Adjustments to reconcile net (loss) income to cash (used in) provided by operations:
                                       
Depreciation and amortization
          5,040       3,525             8,565  
Amortization of debt issue costs
          2,471       1,275             3,746  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (9,885 )           (9,885 )
Gain from property insurance settlement
                (476 )           (476 )
Vacant property charges, net
          (30 )                 (30 )
Severance charges
                             
Payments on modification of lease agreement
          (5,875 )                 (5,875 )
Deferred income tax benefit
          (20 )                 (20 )
Pension expense
          3,942                 3,942
Share-based compensation, excluding restructuring related
    528       2,269                   2,797  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          695                   695  
Accrued compensation and other
    (971 )     875       (561 )           (657 )  
Equity (deficit) in earnings of subsidiaries
    18,701                   (18,701 )      
Intercompany receivable
    (6,940 )     (10,332 )           17,272        
Intercompany payable
    10,332       6,940             (17,272 )      
 
    (1,377 )     (31,262 )     12,414             (20,225 )
Changes in primary working capital components:
                                       
Receivables
          (18,593 )                 (18,593 )
Inventories
          (44,482 )                 (44,482 )
Accounts payable
    42       8,619       389             9,050  
Net cash (used in) provided by operating activities
    (1,335 )     (85,718 )     12,803             (74,250 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    1,862       154       (2,016 )            
Property, plant and equipment investments
          (2,826 )                   (2,826 )
Proceeds from disposition of assets
          997       18,198             19,195  
Net cash provided by (used in) investing activities
    1,862       (1,675 )     16,182             16,369  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repurchase of shares to satisfy employee tax withholdings
    (526 )                       (526 )
Repayments on revolving credit facilities
          (473,349 )                 (473,349 )
Borrowings on revolving credit facilities
          550,270                   550,270  
Principal payments on mortgage
                (37,272 )           (37,272 )
Payments on capital lease obligations
          (2,259 )                 (2,259 )
Increase in bank overdrafts
          13,020                   13,020  
Decrease in restricted cash related to the mortgage
                9,970             9,970  
Debt financing costs
                (1,683 )           (1,683 )
Net cash (used in) provided by financing activities
    (526 )     87,682       (28,985 )           58,171  
Increase in cash
    1       289                   290  
Cash and cash equivalents balance, beginning of period
    27       4,871                   4,898  
Cash and cash equivalents balance, end of period
  $ 28     $ 5,160     $     $     $ 5,188  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 37     $ (545 )   $     $ (508 )
Interest paid during the period
  $     $ 9,309     $ 14,979     $     $ 24,288  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 5,238     $     $     $ 5,238  
 
75

 

 

 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
Adjustments to reconcile net (loss) income to cash  (used in) provided by operations:
                                       
Depreciation and amortization
          6,790       3,772             10,562  
Amortization of debt issue costs
          1,983       957             2,940  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (10,604 )           (10,604 )
Gain from property insurance settlement
                (1,230 )           (1,230 )
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Vacant property charges, net
          (291 )                 (291 )
Severance charges
                             
Gain on modification of lease agreement
          (1,971 )                 (1,971 )
Deferred income tax benefit
          (25 )                 (25 )
Pension expense
          1,774                 1,774
Share-based compensation, excluding restructuring related
          1,602       372             1,974  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          987                   987  
Accrued compensation and other
    167             (2,104 )     (1,244 )     (3,181 )
Equity in earnings of subsidiaries
    34,380                   (34,380 )      
Intercompany receivable
    (9,829 )     (9,727 )           19,556        
Intercompany payable
    9,218       9,094             (18,312 )      
 
    (4,631 )     (44,370 )       9,693             (39,308 )
Changes in assets and liabilities:
                                       
Receivables
          (19,670 )                 (19,670 )
Inventories
          2,673                   2,673  
Accounts payable
    102       5,871                   5,973  
Net cash (used in) provided by operating activities
    (4,529 )     (55,496 )     9,693             (50,332 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    (54,349 )     55,209       (860 )            
Property, plant and equipment investments
          (3,203 )     (3,330 )           (6,533 )
Proceeds from sale of assets
          504       17,851             18,355  
Net cash (used in) provided by investing activities
    (54,349 )     52,510       13,661             11,822  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repayments on revolving credit facilities
          (478,630 )                 (478,630 )
Borrowings on revolving credit facilities
          475,918                   475,918  
Principal payments on mortgage
                (42,416 )           (42,416 )
Payments on capital lease obligations
          (1,440 )                 (1,440 )
Decrease in bank overdrafts
          (725 )                 (725 )
Decrease in restricted cash related to the mortgage
                20,604             20,604  
Debt financing costs
          (1,179 )     (1,542 )           (2,721 )
Proceeds from stock offering less expenses paid
    58,521                         58,521  
Net cash provided by (used in) financing activities
    58,521       (6,056 )     (23,354 )           29,111  
Decrease in cash
    (357 )     (9,042 )                 (9,399 )
Cash and cash equivalents balance, beginning of period
    384       13,913                   14,297  
Cash and cash equivalents balance, end of period
  $ 27     $ 4,871     $     $     $ 4,898  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 231     $ (253 )   $     $ (22 )
Interest paid during the period
  $     $ 10,783     $ 17,315     $     $ 28,098  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 3,131     $     $     $ 3,131  
 
76

 

 

 
The condensed consolidating statement of stockholders’ equity (deficit) for BlueLinx Holdings Inc. for fiscal 2011, fiscal 2012, and fiscal 2013 follows (in thousands):
 
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Balance, January 1, 2011
  $ 991     $ 94,273     $ (140,314 )   $ 46,041     $ 991  
Net (loss) income 
    (38,567 )     (52,910 )     18,530       34.380       (38,567 )
Foreign currency translation adjustment, net of tax
    (92 )     (92 )           92       (92 )
Unrealized (loss) income from pension plan, net of tax
    (14,969 )     (14,969 )           14,969       (14,969 )
Unrealized gain (loss) from cash flow hedge, net of tax
    519       519             (519 )     519  
Issuance of restricted stock, net of forfeitures
    7                         7  
Issuance of stock related to the rights offering, net of expenses
    58,521                         58,521  
Compensation related to share-based grants
    2,158                         2,158  
Impact of net settled shares for vested grants
    (194 )                       (194 )
                                         
Net transactions with the Parent
          56,805       (2,391 )     (54,414 )      
Balance, December 31, 2011
  $ 8,374     $ 83,626     $ (124,175 )   $ 40,549     $ 8,374  
Net (loss) income 
    (23,027 )     (37,237 )     18,536       18,701       (23,027 )
Foreign currency translation adjustment, net of tax
    103       103             (103 )     103  
Unrealized loss (income) from pension plan, net of tax
    (8,245 )     (8,245 )           8,245       (8,245 )
Issuance of restricted stock, net of forfeitures
    19       19             (19 )     19  
Compensation related to share-based grants
    2,730                         2,730  
Impact of net settled shares for vested grants
    (526 )                       (526 )
Other
    (20 )                       (20 )
                                         
Net transactions with the Parent
          2,337       (2,017 )     (320 )      
Balance, December 29, 2012
  $ (20,592 )   $ 40,603     $ (107,656 )   $ 67,053     $ (20,592 )
Net (loss) income 
    (40,618 )     (49,205 )     14,343       34,862       (40,618 )
Foreign currency translation adjustment, net of tax
    (161 )     (161 )           161       (161 )
Unrealized income (loss) from pension plan, net of tax
    13,910       13,910             (13,910 )     13,910  
Issuance of restricted stock, net of forfeitures
    6       6             (6 )     6  
Issuance of performance shares
    6       6             (6 )     6  
Issuance of stock related to the rights offering, net of expenses
    38,613                         38,613  
Compensation related to share-based grants
    6,117                         6,117  
Impact of net settled shares for vested grants
    (3,193 )                       (3,193 )
Excess tax benefits from share-based compensation arrangements
    16                         16  
Other
    (2 )                       (2 )
                                         
Net transactions with the Parent
          43,880       (3,461 )       (40,419 )      
                                         
Balance, January 4, 2014
  $ (5,898 )   $ 49,039     $ (96,774 )   $ 47,735     $ (5,898 )
 
77

 

 


 
None.
 
 
Conclusion Regarding the Effectiveness of Disclosure Controls and Procedures
 
We maintain disclosure controls and procedures designed to ensure that information required to be disclosed in our reports pursuant to the Securities Exchange Act of 1934, as amended (the “Exchange Act”), is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our chief executive officer and chief financial officer, as appropriate, to allow timely decisions regarding required disclosure. Management necessarily applied its judgment in assessing the costs and benefits of such controls and procedures that, by their nature, can provide only reasonable assurance regarding management’s control objectives.
 
Our management performed an evaluation, as of the end of the period covered by this Annual Report on Form 10-K, under the supervision of our chief executive officer and chief financial officer of the effectiveness of the design and operation of our disclosure controls and procedures (as defined in rule 13a-15(e) and 15d-15(e) of the Exchange Act). Based on that evaluation, our chief executive officer and chief financial officer have concluded that our disclosure controls and procedures are effective to ensure that information required to be disclosed by us in reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and is accumulated and communicated to our management including our chief executive officer and chief financial officer, to allow timely decisions regarding required disclosure.
 
Management’s Report on Internal Control over Financial Reporting
 
Management’s Report on Internal Control Over Financial Reporting and the Report of Independent Registered Public Accounting Firm thereon are set out in Item 8 of this Annual Report on Form 10-K.
 
Changes in Internal Control over Financial Reporting
 
No change in our internal control over financial reporting occurred during the fiscal quarter ended January 4, 2014 that materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.
 
The certifications of our Chief Executive Officer and Chief Financial Officer required by Section 302 of the Sarbanes-Oxley Act of 2002 are filed as Exhibits 31.1 and 31.2 to this Annual Report on Form 10-K. Additionally, as required by Section 303A.12 (a) of the NYSE Listed Company Manual, our acting Chief Executive Officer filed a certification with the NYSE on May 16, 2013 reporting that he was not aware of any violation by us of the NYSE’s Corporate Governance listing standards.  On November 1, 2012, our Chief Executive Officer filed an interim written affirmation with the NYSE reporting that the Company was out of compliance with the NYSE’s Corporate governance listing standards due to only having two directors on the Company’s Audit Committee (following the resignation of Charles H. McElrea), rather than the three directors required by Section 303A.07(a) of the NYSE Listed Company Manual.  On February 14, 2013, the Board affirmatively determined Mr. M. Richard Warner to be independent.  Mr. Warner joined the Audit Committee as the third director on the Company’s Audit Committee, bringing the Company back into compliance with Section 303A.07(a) of the NYSE Listed Company Manual.
 
ITEM 9B.  OTHER INFORMATION.
 
None.
 
78

 

 


 
 
Certain information required by this Item is set forth in our definitive proxy statement for the 2014 Annual Meeting of Stockholders of BlueLinx Holdings Inc. to be held on May 15, 2014, and is incorporated herein by reference. Information regarding executive officers is included under Item 1 of this report and is incorporated herein by reference.
 
 
The information required by this Item is set forth in our definitive proxy statement for the 2014 Annual Meeting of Stockholders of BlueLinx Holdings Inc. to be held on May 15, 2014, and is incorporated herein by reference.
 
 
Except as set forth below, the information required by this Item is set forth in our definitive proxy statement for the 2014 Annual Meeting of Stockholders of BlueLinx Holdings Inc. to be held on May 15, 2014, and is incorporated herein by reference.
 
Equity Compensation Plan Information
 
The following table provides information about the shares of our common stock that may be issued upon the exercise of options and other awards under our existing equity compensation plans as of January 4, 2014. Our stockholder-approved equity compensation plans are the 2004 Equity Incentive Plan and the 2006 Long-Term Equity Incentive Plan. We do not have any non-stockholder approved equity compensation plans.
 
   
(a)
   
(b)
 
(c)
 
 
 
 
Plan Category
 
Number of Securities
to be Issued Upon
Exercise of
Outstanding Options,
Warrants and Rights
   
Weighted-Average
Exercise Price of
Outstanding
Options, Warrants
and Rights
 
Number of Securities Remaining
Available for Future Issuance Under
Equity Compensation Plans
(Excluding Securities Reflected in
Column (a))
Equity compensation plans approved by security holders
  784,500       $       5.05     5,526,285  
Equity compensation plans not approved by security holders
        n/a      
Total
  784,500       $       5.05     5,526,285  
 
 
The information required by this Item is set forth in our definitive proxy statement for the 2014 Annual Meeting of Stockholders of BlueLinx Holdings Inc. to be held on May 15, 2014, and is incorporated herein by reference.
 
 
The information required by this Item is set forth in our definitive proxy statement for the 2014 Annual Meeting of Stockholders of BlueLinx Holdings Inc. to be held on May 15, 2014, and is incorporated herein by reference.
 
79

 

 


 
ITEM 15.  EXHIBITS, FINANCIAL STATEMENT SCHEDULES.
 
(a)  Financial Statements, Schedules and Exhibits
 
1. Financial Statements. The Financial Statements of BlueLinx Holdings Inc. and the Reports of Independent Registered Public Accounting Firm are presented under Item 8 of this Form 10-K.
 
2. Financial Statement Schedules. Not applicable.
 
3. Exhibits.
 
Exhibit
Number
 
Item
     
3.1
 
Second Amended and Restated Certificate of Incorporation of BlueLinx (A)
     
3.2
 
Amended and Restated By-Laws of BlueLinx(B)
     
4.1
 
Registration Rights Agreement, dated as of May 7, 2004, by and among BlueLinx and the initial holders specified on the signature pages thereto(C)
     
4.2
 
Letter Agreement, dated as of August 30, 2004, by and among BlueLinx, Cerberus ABP Investor LLC, Charles H. McElrea, George R. Judd, David J. Morris, James C. Herbig, Wayne E. Wiggleton and Steven C. Hardin(C)
     
4.3
 
Investment Letter, dated March 10, 2004, between BlueLinx and Cerberus ABP Investor LLC, as Purchaser of Common Stock(D)
     
4.4
 
Investment Letter, dated May 7, 2004, between BlueLinx and Cerberus ABP Investor LLC, as Purchaser of Common Stock(D)
     
4.5
 
Executive Purchase Agreement dated May 7, 2004 by and among BlueLinx, Cerberus ABP Investor LLC and Charles H. McElrea(D)
     
4.6
 
Executive Purchase Agreement dated May 7, 2004 by and among BlueLinx, Cerberus ABP Investor LLC and George R. Judd(D)
 
4.7
 
 
Registration Rights Agreement, dated as of June 16, 2011 between BlueLinx Holdings Inc. and Stadium Capital Management, LLC (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 20, 2011)
 
10.1
 
Asset Purchase Agreement, dated as of March 12, 2004, by and among Georgia-Pacific Corporation, Georgia-Pacific Building Materials Sales, Ltd. and BlueLinx Corporation(C)
 
10.2
 
First Amendment to Asset Purchase Agreement, dated as of May 6, 2004, by and among Georgia-Pacific Corporation, Georgia-Pacific Building Materials Sales, Ltd. and BlueLinx Corporation(C)
 
10.3†
 
Master Purchase, Supply and Distribution Agreement, dated May 7, 2004 by and between BlueLinx Corporation and Georgia-Pacific(B)
 
10.4
 
Form of Director and Officer Indemnification Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 13, 2011)
 
 
80

 

 

 
Exhibit
Number
 
Item
     
10.5
 
BlueLinx Holdings Inc. Amended and Restated Short-Term Incentive Plan (incorporated by reference to Attachment B to the Definitive Proxy Statement for the 2011 Annual Meeting of Stockholders, filed with the Securities and Exchange Commission on April 18, 2011)
 
10.6
 
BlueLinx Holdings Inc. 2004 Long Term Equity Incentive Plan(C)
 
10.7
 
BlueLinx Holdings Inc. 2004 Long-Term Equity Incentive Plan Form of Restricted Stock Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 11, 2008)
 
10.8   BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan (as amended and restated effective May 21, 2008) (incorporated by reference to Appendix A to the Definitive Proxy Statement for the 2011 Annual Meeting of Stockholders, filed with the Securities and Exchange Commission on April 18, 2011)
     
10.9
 
Amended and Restated Bluelinx Holdings Inc. 2006 Long-Term Equity Incentive Plan (as amended through May 17, 2012 and restated solely for purposes of filing pursuant to Item 601 of Regulation S-K) (Incorporated by reference to Appendix A to the Definitive Proxy Statement for the 2012 Annual Meeting of Stockholders, filed with the Securities and Exchange Commission on April 16, 2012)
 
10.10
 
BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan Restricted Stock Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 9, 2006)
 
10.11
 
BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan Nonqualified Stock Option Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 9, 2006)
 
10.12
 
BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan Form of Performance Share Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 4, 2013)
 
10.13
 
BlueLinx Holdings Inc. Short-Term Incentive Plan (as amended and restated effective January 1, 2011) (Incorporated by reference to Appendix B to the Definitive Proxy Statement for the 2011 Annual Meeting of Stockholders, filed with the Securities and Exchange Commission on April 18, 2011)

10.14
 
Canadian Credit Agreement, dated August 12, 2011, by and among Bluelinx Canada, CIBC Asset-Based Lending Inc. and the lenders from time to time parties thereto (Incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on August 16, 2 011)
 
10.15
 
Letter Agreement, dated December 18, 2006, relating to and amending the Master Purchase, Supply and Distribution Agreement between Georgia-Pacific Corporation and BlueLinx Corporation dated May 7, 2004 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on December 22, 2006)
 
10.16†
 
Loan and Security Agreement, dated as of June 9, 2006, between the entities set forth therein collectively as borrower and German American Capital Corporation as Lender (incorporated by reference to Form 10-Q filed with the Securities and Exchange Commission on November 6, 2009)
 
10.17
 
Twelfth Amendment to Loan and Security Agreement, dated as of June 9, 2006, between the entities set forth therein collectively as borrower and German American Capital Corporation as Lender (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on September 20, 2012)
 
10.18
 
Guaranty of Recourse Obligations, dated as of June 9, 2006, by BlueLinx Holdings Inc. for the benefit of German American Capital Corporation (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 15, 2006)
 
10.19
 
Environmental Indemnity Agreement, dated as of June 9, 2006, by BlueLinx Holdings Inc. in favor of German American Capital Corporation (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 15, 2006)
 
 
81

 

 

 
Exhibit
Number
 
Item
     
10.20†
 
Amended and Restated Loan and Security Agreement, dated August 4, 2006, by and between BlueLinx Corporation, Wachovia and the other signatories listed therein (incorporated by reference to Form 10-Q filed with the Securities and Exchange Commission on November 6, 2009)
 
10.21
 
Second Amendment to Amended and Restated Loan and Security Agreement, dated August 4, 2006, by and between BlueLinx Corporation, Wachovia and the other signatories listed therein, dated October 22, 2008 (incorporated by reference to Exhibit 10.19 to Annual Report on Form 10-K for the year ended January 1, 2011, filed with the Securities and Exchange Commission on February 25, 2011)
 
10.22
 
Second Amendment to Amended and Restated Loan and Security Agreement, dated August 4, 2006, by and between BlueLinx Corporation, Wells Fargo, as successor in interest to Wachovia, and the other signatories listed therein, dated July 7, 2010 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on July 7, 2010)
 
10.23
 
Third Amendment to Amended and Restated Loan and Security Agreement, dated August 4, 2006, by and between BlueLinx Corporation, Wells Fargo, as successor in interest to Wachovia, and the other signatories listed therein, dated May 10, 2011(incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on May 12, 2011)

10.24
 
Fourth Amendment to Amended and Restated Loan and Security Agreement, dated August 4, 2006, by and between BlueLinx Corporation, Wells Fargo, as successor in interest to Wachovia, and the other signatories listed therein, dated August 11, 2011 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on August 16, 2011)

10.25
 
Fifth Amendment to Loan and Security Agreement, dated July 14, 2011, by and between BlueLinx Corporation and certain of its subsidiaries and U.S. Bank National Association in its capacity as trustee for the registered holders of Wachovia Bank Commercial Mortgage Trust, Commercial Mortgage Pass Through Certificates, Series 2006-C 27, as successor in interest to German American Capital Corporation (Incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on July 14, 2011)

10.26
 
Second Amended and Restated Employment Agreement between BlueLinx Corporation and George R. Judd, dated January 22, 2013, (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 28, 2013)
 
10.27
 
Second Amended and Restated Employment Agreement between BlueLinx Corporation and Howard D. Goforth, dated January 22, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 28, 2013)
 
10.28
 
Amended and Restated Employment Agreement between BlueLinx Corporation and Dean A. Adelman, dated January 21, 2011 (incorporated by reference to Form 8-K/A filed with the Securities and Exchange Commission on January 27, 2011)
 
10.29
 
 
Employment Agreement between BlueLinx Corporation and Ned M. Bassil, dated October 31, 2011 (Incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on November 4, 2011)
 
10.30
 
Investment Agreement, dated as of April 26, 2011, between BlueLinx and Cerberus ABP Investor LLC (incorporated by reference to Form 8-K, filed with the Securities and Exchange Commission on April 26, 2011)
 
10.31
 
Amended and Restated 2006 Long-Term Equity Incentive Plan Performance Share Award Agreement, dated January 2013 (incorporated by reference to Form8-K filed with the Securities and Exchange Commission on January 4, 2013).
 
 
82

 

 

 
Exhibit
Number
 
Item
     
10.32
 
Second Amended and Restated Employment Agreement between BlueLinx Corporation and George R. Judd, dated January 22, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 28, 2013).
 
10.33
 
Second Amended and Restated Employment Agreement between BlueLinx Corporation and Doug Goforth , dated January 22, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 28, 2013).
 
10.34
 
Fifth Amendment to Amended and Restated Loan and Security Agreement and Lender Joinder , dated March 29, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on March 29, 2013).
 
10.35
 
Employment Agreement between BlueLinx Corporation and Sara Epstein , dated May 15, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on May 17, 2013).
 
10.36
 
Employment Agreement between BlueLinx Corporation and James Soggs , dated May 15, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on May 17, 2013).
 
10.37
 
Separation Agreement between George Judd and BlueLinx Corporation , dated June 5, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 11, 2013).
 
10.38
 
Sixth Amendment to Amended and Restated Loan and Security Agreement by and among Wells Fargo Bank, National Association, a national banking association, in its capacity as administrative and collateral agent for the Lenders (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 28, 2013).
 
10.39
 
Lender Joinder Agreement by and between PNC Bank, National Association and BlueLinx Corporation , dated June 28, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on June 28, 2013).
 
10.40
 
First Amending Agreement among BlueLinx Corporation and Canadian Imperial Bank of Commerce as successor to CIBC Asset-Based Lending Inc., dated August 16, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on August 19, 2013).
 
10.41
 
BlueLinx Holding Inc. Second Half Incentive Plan, effective as of June 30, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on August 23, 2013).
 
10.42
 
Third Amended and Restated Employment Agreement , dated December 9, 2013 between BlueLinx Corporation and Robert McKagen (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on December 13, 2013).
 
10.43
 
Amendment No. 1 to BlueLinx Holdings Inc. Amended and Restated 2006 Long-Term Equity Incentive Plan Performance Share Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 3, 2014).
 
10.4 4
 
Release Agreement by and between Ned M. Bassil and BlueLinx Corporation, dated December 30, 2013 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 3, 2014).
 
10.45
 
Employment Agreement between BlueLinx Corporation and Mitchell Lewis, dated January 15, 2014 (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 17, 2014).
 
10.46
 
BlueLinx Holdings Inc. Amended and Restated 2006 Long-Term Equity Incentive Plan Restricted Stock Award Agreement (incorporated by reference to Form 8-K filed with the Securities and Exchange Commission on January 17, 2014).
 
14.1
 
BlueLinx Code of Ethical Conduct (incorporated by reference to Exhibit 14.1 to Annual Report on Form 10-K for the year ended January 1, 2005, filed with the Securities and Exchange Commission on March 22, 2005) .
 
21.1
 
List of subsidiaries of the Company *
 
23.1
 
Consent of Ernst & Young LLP*
 
31.1
 
Certification of Mitchell B. Lewis, Chief Executive Officer, pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
 
31.2
 
Certification of Howard D. Goforth, Chief Financial Officer and Treasurer, pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
 
32.1
 
Certification of Mitchell B. Lewis, Chief Executive Officer, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*
 
32.2
 
Certification of Howard D. Goforth, Chief Financial Officer and Treasurer, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*
 
 
83

 

 

 
Exhibit
Number
 
Item
     
101
 
The following financial information from the Registrant’s Annual Report on Form 10-K for the fiscal year ended January 4, 2014, formatted in Extensible Business Reporting Language (“XBRL”): (i) Consolidated Statements of Operations and Comprehensive Loss, (ii) Consolidated Balance Sheets, (iii) Consolidated Statements of Stockholders’ (Deficit) Equity, (iv) Consolidated Statements of Cash Flows and (v) Notes to Consolidated Financial Statements.**
 

   
*
Filed herewith.
   
**
Pursuant to Rule 406T of Regulation S-T, these interactive data files are deemed not to be “filed” or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, as amended, or Section 18 of the Securities Act of 1934, as amended, and otherwise are not subject to liability under these sections.
   
† 
Portions of this document were omitted and filed separately with the SEC pursuant to a request for confidential treatment in accordance with Rule 24b-2 of the Exchange Act.
   
(A)
Previously filed as Appendix B to the proxy statement for the 2012 Annual Meeting of Stockholders filed on Schedule 14A with the Securities and Exchange Commission on April 16, 2012.
   
(B)
Previously filed as an exhibit to Amendment No. 3 to the Company’s Registration Statement on Form S-1 (Reg. No. 333-118750) filed with the Securities and Exchange Commission on November 26, 2004.
   
(C)
Previously filed as an exhibit to Amendment No. 1 to the Company’s Registration Statement on Form S-1 (Reg. No. 333-118750) filed with the Securities and Exchange Commission on October 1, 2004.
   
(D)
Previously filed as an exhibit to Amendment No. 2 to the Company’s Registration Statement on Form S-1 (Reg. No. 333-118750) filed with the Securities and Exchange Commission on October 8, 2004.
 
84

EX-21.1 2 ex21-1.htm EXHIBIT 21.1


Exhibit 21.1


LIST OF SUBSIDIARIES
         
       
Jurisdiction of
   
Name of Subsidiary
 
Organization
1.
 
BLUELINX CORPORATION
 
Georgia
         
2.
 
BLUELINX SERVICES INC.
 
Georgia
         
3.
 
BLUELINX FLORIDA LP
 
Florida
         
4.
 
BLUELINX FLORIDA HOLDING NO. 1 INC.
 
Georgia
         
5.
 
BLUELINX FLORIDA HOLDING NO. 2 INC.
 
Georgia
         
6.
 
BLUELINX BUILDING PRODUCTS CANADA LTD.
 
British Columbia, Canada
         
7.
 
BLX REAL ESTATE LLC
 
Delaware
         
8.
 
ABP AL (MIDFIELD) LLC
 
Delaware
         
9.
 
ABP AR (LITTLE ROCK) LLC
 
Delaware
         
10.
 
ABP CA (CITY OF INDUSTRY) LLC
 
Delaware
         
11.
 
ABP CA (NATIONAL CITY) LLC
 
Delaware
         
12.
 
ABP CO I (DENVER) LLC
 
Delaware
         
13.
 
ABP CO II (DENVER) LLC
 
Delaware
         
14.
 
ABP FL (LAKE CITY) LLC
 
Delaware
         
15.
 
ABP FL (MIAMI) LLC
 
Delaware
         
16.
 
ABP FL (PENSACOLA) LLC
 
Delaware
         
17.
 
ABP FL (TAMPA) LLC
 
Delaware
         
18.
 
ABP FL (YULEE) LLC
 
Delaware
         
19.
 
ABP GA (LAWRENCEVILLE) LLC
 
Delaware
         
20.
 
ABP IA (DES MOINES) LLC
 
Delaware
         
21.
 
ABP IL (UNIVERSITY PARK) LLC
 
Delaware
         
22.
 
ABP IN (ELKHART) LLC
 
Delaware
         
23.
 
ABP KY (INDEPENDENCE) LLC
 
Delaware
 
 
 

 

 
         
24.
 
ABP LA (SHREVEPORT) LLC
 
Delaware
         
25.
 
ABP LA (NEW ORLEANS) LLC
 
Delaware
         
26.
 
ABP MA (BELLINGHAM) LLC
 
Delaware
         
27.
 
ABP MD (BALTIMORE) LLC
 
Delaware
         
28.
 
ABP ME (PORTLAND) LLC
 
Delaware
         
29.
 
ABP MI (DETROIT) LLC
 
Delaware
         
30.
 
ABP MI (GRAND RAPIDS) LLC
 
Delaware
         
31.
 
ABP MN (MAPLE GROVE) LLC
 
Delaware
         
32.
 
ABP MO (BRIDGETON) LLC
 
Delaware
         
33.
 
ABP MO (KANSAS CITY) LLC
 
Delaware
         
34.
 
ABP MO (SPRINGFIELD) LLC
 
Delaware
         
35.
 
ABP MS (PEARL) LLC
 
Delaware
         
36.
 
ABP NC (BUTNER) LLC
 
Delaware
         
37.
 
ABP NC (CHARLOTTE) LLC
 
Delaware
         
38.
 
ABP NJ (DENVILLE) LLC
 
Delaware
         
39.
 
ABP NY (YAPHANK) LLC
 
Delaware
         
40.
 
ABP OH (TALMADGE) LLC
 
Delaware
         
41.
 
ABP OK (TULSA) LLC
 
Delaware
         
42.
 
ABP OR (BEAVERTON) LLC
 
Delaware
         
43.
 
ABP PA (ALLENTOWN) LLC
 
Delaware
         
44.
 
ABP PA (STANTON) LLC
 
Delaware
         
45.
 
ABP SC (CHARLESTON) LLC
 
Delaware
         
46.
 
ABP TN (ERWIN) LLC
 
Delaware
         
47.
 
ABP TN (MEMPHIS) LLC
 
Delaware
         
48.
 
ABP TN (MADISON) LLC
 
Delaware
         
49.
 
ABP TX (EL PASO) LLC
 
Delaware
 
 
 

 

 
         
50.
 
ABP TX (FORT WORTH) LLC
 
Delaware
         
51.
 
ABP TX (HARLINGEN) LLC
 
Delaware
         
52.
 
ABP TX (HOUSTON) LLC
 
Delaware
         
53.
 
ABP TX (LUBBOCK) LLC
 
Delaware
         
54.
 
ABP TX (SAN ANTONIO) LLC
 
Delaware
         
55.
 
ABP VA (RICHMOND) LLC
 
Delaware
         
56.
 
ABP VA (VIRGINIA BEACH) LLC
 
Delaware
         
57.
 
ABP VT (SHELBURNE) LLC
 
Delaware
         
58.
 
ABP WI (WAUSAU) LLC
 
Delaware
         
59.
 
ABP MD (BALTIMORE) SUBSIDIARY LLC
 
Delaware
         
60.
 
BLX SC (CHARLESTON) LLC
 
Delaware
 
 

 

EX-23.1 3 ex23-1.htm EXHIBIT 23.1


Exhibit 23.1
 
Consent of Independent Registered Public Accounting Firm
 
We consent to the incorporation by reference in the following Registration Statements:
 
(1)
Registration Statement (Form S-3 No. 333-176131) of BlueLinx Holdings Inc.,
 
(2)
Registration Statement (Form S-8 No. 333-183027) pertaining to the BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan
 
(3)
Registration Statement (Form S-8 No. 333-176130) pertaining to the BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan,
 
(4)
Registration Statement (Form S-8 No. 333-151529) pertaining to the BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan;
 
(5)
Registration Statement (Form S-8 No. 333-134612) pertaining to the BlueLinx Holdings Inc. 2006 Long-Term Equity Incentive Plan, and
 
(6)
Registration Statement (Form S-8 No. 333-124721) pertaining to the BlueLinx Holdings Inc. Equity Incentive Plan;
 
of our reports dated February 24, 2014, with respect to the consolidated financial statements of BlueLinx Holdings Inc. and subsidiaries and the effectiveness of internal control over financial reporting of BlueLinx Holdings Inc. and subsidiaries included in this Annual Report (Form 10-K) for the year ended January 4, 2014.
   
 
/s/ Ernst & Young LLP
   
Atlanta, Georgia
 
February 24, 2014
 
 
 

 

EX-31.1 4 ex31-1.htm EXHIBIT 31.1


Exhibit 31.1
 
CERTIFICATION REQUIRED BY RULE 13a-14(a) OR RULE 15d-14(a) OF THE SECURITIES
EXCHANGE ACT OF 1934
 
I, Mitchell B. Lewis certify that:
 
 
(1)
I have reviewed this annual report on Form 10-K of BlueLinx Holdings Inc;
 
 
(2)
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
 
(3)
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
 
(4)
The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f))for the registrant and have:
 
 
(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
 
(5)
The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
 
(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
         
February 24, 2014
     
       
   
/s/ Mitchell B. Lewis
 
   
Mitchell B. Lewis
 
   
BlueLinx Holdings Inc.
 
   
Chief Executive Officer
 
 
 

 

EX-31.2 5 ex31-2.htm EXHIBIT 31.2


Exhibit 31.2
 
CERTIFICATION REQUIRED BY RULE 13a-14(a) OR RULE 15d-14(a) OF THE SECURITIES
EXCHANGE ACT OF 1934
 
I, H. Douglas Goforth certify that:
 
 
(1)
I have reviewed this annual report on Form 10-K of BlueLinx Holdings Inc;
 
 
(2)
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
 
(3)
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
 
(4)
The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f))for the registrant and have:
 
 
(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
 
(5)
The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
 
(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
         
February 24, 2014
     
       
   
 /s/ H. Douglas Goforth
 
   
H. Douglas Goforth
 
   
BlueLinx Holdings Inc.
 
   
Senior Vice President,
Chief Financial Officer and Treasurer
 
 
 

 

EX-32.1 6 ex32-1.htm EXHIBIT 32.1


Exhibit 32.1
 
BLUELINX HOLDINGS INC.
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
In connection with the annual report of BlueLinx Holdings Inc. (the “Company”) on Form 10-K for the year ending January 4, 2014, as filed with the United States Securities and Exchange Commission on the date hereof (the “Report”), I, Mitchell B. Lewis, Chief Executive Officer of the Company, do hereby certify, pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
 
(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
 
 
(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
       
February 24, 2014 By: /s/ Mitchell B. Lewis  
    Mitchell B. Lewis  
   
Chief Executive Officer
 
 
 

 

EX-32.2 7 ex32-2.htm EXHIBIT 32.2


Exhibit 32.2
 
BLUELINX HOLDINGS INC.
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
In connection with the annual report of BlueLinx Holdings Inc. (the “Company”) on Form 10-K for the year ending January 4, 2014, as filed with the United States Securities and Exchange Commission on the date hereof (the “Report”), I, H. Douglas Goforth, Chief Financial Officer and Treasurer of the Company, do hereby certify, pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
 
(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
 
 
(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
       
February 24, 2014 By: /s/  H. Douglas Goforth  
    H. Douglas Goforth  
   
Senior Vice President,
 
   
Chief Financial Officer and Treasurer
 
 
 

 

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text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">(4</font></td> <td style="text-align: left; padding-bottom: 4px;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">)</font></td> </tr> </table> <div style="text-transform: none; text-indent: 0pt; display: block; font: 13px 'times new roman', times, serif; white-space: normal; letter-spacing: normal; color: #000000; margin-left: 0pt; margin-right: 0pt; word-spacing: 0px; -webkit-text-stroke-width: 0px;"> <div style="text-indent: 0pt; display: block;"><font style="font: 10pt 'times new roman';">&#160;</font></div> </div> <div style="text-transform: none; text-indent: 0px; font: 13px 'times new roman', times, serif; white-space: normal; letter-spacing: normal; color: #000000; word-spacing: 0px; -webkit-text-stroke-width: 0px;">&#160;</div> <div align="left" style="text-transform: none; text-indent: 0px; font: 13px 'times new roman', times, serif; white-space: normal; 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display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2018</font></div> </td> <td align="right" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">3,498</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="white"> <td align="left" style="padding-bottom: 2px;" valign="bottom" width="88%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">Thereafter</font></div> </td> <td align="left" style="padding-bottom: 2px;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">10,060</font></td> <td style="text-align: left; padding-bottom: 2px;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="azure"> <td align="left" style="padding-bottom: 4px;" valign="bottom" width="88%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">Total</font></div> </td> <td align="left" style="padding-bottom: 4px;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 4px double; text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">$</font></td> <td style="border-bottom: black 4px double; 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display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2014</font></div> </td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left; width: 16px; vertical-align: bottom;"><font style="font: 10pt 'times new roman';">$</font></td> <td style="text-align: right; width: 142px; vertical-align: bottom;"><font style="font: 10pt 'times new roman';">1,753</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left; width: 15px; vertical-align: bottom;"><font style="font: 10pt 'times new roman';">$</font></td> <td style="text-align: right; width: 141px; vertical-align: bottom;"><font style="font: 10pt 'times new roman';">509</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="white"> <td align="left" valign="bottom" width="76%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2015</font></div> </td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">1,847</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">399</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="azure"> <td align="left" valign="bottom" width="76%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2016</font></div> </td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">1,746</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">273</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="white"> <td align="left" valign="bottom" width="76%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2017</font></div> </td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">1,342</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">186</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="azure"> <td align="left" valign="bottom" width="76%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">2018</font></div> </td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">1,406</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">95</font></td> <td style="text-align: left;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> </tr> <tr bgcolor="white"> <td align="left" style="padding-bottom: 2px;" valign="bottom" width="76%"> <div align="left" style="text-indent: -9pt; display: block; margin-left: 9pt; margin-right: 5.05pt;"><font style="font: 10pt 'times new roman';">Thereafter</font></div> </td> <td align="left" style="padding-bottom: 2px;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; text-align: right;" valign="bottom" width="9%"><font style="font: 10pt 'times new roman';">604</font></td> <td style="text-align: left; padding-bottom: 2px;" valign="bottom" width="1%" nowrap="nowrap"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td align="left" style="padding-bottom: 2px;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; text-align: left;" valign="bottom" width="1%"><font style="font: 10pt 'times new roman';">&#160;</font></td> <td style="border-bottom: black 2px solid; 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2000000 44500000 1300000 0.041 0.040 0.037 0.040 4500000 3600000 As of January 4, 2014, our U.S. revolving credit facility, as amended, contains customary negative covenants and restrictions for asset based loans, including a requirement that we maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the "Excess Availability Threshold"). 1.1 to 1.0 31800000 0.125 44500000 37100000 0.15 35000000 3900000 1.20 2761000 2744000 181438000 186943000 295000000 P10Y 206000000 186900000 50 0.0635 10000000 10000000 13200000 7300000 300000 300000 8400000 1900000 6300000 2700000 0 0 500000 2200000 206000000 205500000 186900000 186600000 4391000 3968000 4036000 4060000 3498000 10060000 30013000 1753000 1847000 1746000 1342000 1406000 604000 8698000 509000 399000 273000 186000 95000 20000 1482000 800000 2000000 100000 800000 300000 7200000 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Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive. During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685. During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive. During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive. During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive. During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive. During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive. Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years. The restricted stock units were settled in cash. The fair value of these awards was marked-to-market each reporting period through the date of settlement. During fiscal 2012 and fiscal 2011, certain restricted stock units vested and approximately $0.1 million and $0.2 million, respectively, was paid out to settle these awards. This accumulated other comprehensive loss component is included in the computation of net periodic pension cost. Refer to Note 8 of the Notes to Consolidated Financial Statements for the required disclosures. We allocated income tax expense to accumulated other comprehensive loss to the extent income was recorded in accumulated other comprehensive loss and we have a loss from continuing operations. Refer to Note 5 of the Notes to Consolidated Financial Statements for the required disclosures. The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55. During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date. During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. 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Supplemental Condensed Consolidating Financial Statements (Tables)
12 Months Ended
Jan. 04, 2014
Unaudited Supplemental Consolidating Financial Statements [Abstract]  
Schedule of condensed consolidating statement of operations
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 2,151,972     $ 27,363     $ (27,363 )   $ 2,151,972  
Cost of sales
          1,923,489                   1,923,489  
Gross profit
          228,483       27,363       (27,363 )     228,483  
Operating expenses (income):
                                       
Selling, general and administrative
    5,913       267,232       (5,115 )     (27,363 )     240,667  
Depreciation and amortization
          5,700       3,417             9,117  
Total operating expenses (income)
    5,913       272,932       (1,698 )   (27,363 )     249,784  
Operating (loss) income
    (5,913 )     (44,449 )     29,061             (21,301 )
Non-operating expenses:
                                       
Interest expense
          13,686       14,338             28,024  
Other expense (income), net
          318       (12 )           306  
(Loss) income before provision for (benefit from) income taxes
    (5,913 )     (58,453 )     14,735             (49,631 )
Provision for (benefit from) income taxes
    (157 )     (9,248 )     392             (9,013 )
Equity in (loss) income of subsidiaries
    (34,862 )                 34,862        
Net (loss) income
  $ (40,618 )   $ (49,205 )   $ 14,343     $ 34,862     $ (40,618 )
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,907,842     $ 28,330     $ (28,330 )   $ 1,907,842  
Cost of sales
          1,677,772                   1,677,772  
Gross profit
          230,070       28,330       (28,330 )     230,070  
Operating expenses (income):
                                       
Selling, general and administrative
    3,940       250,098       (9,712 )     (28,330 )     215,996  
Depreciation and amortization
          5,040       3,525             8,565  
Total operating expenses (income)
    3,940       255,138       (6,187 )     (28,330 )     224,561  
Operating (loss) income
    (3,940 )     (25,068 )     34,517             5,509  
Non-operating expenses:
                                       
Interest expense
          12,159       15,998             28,157  
Other expense (income), net
          10       (17 )           (7 )
(Loss) income before provision for income taxes
    (3,940 )     (37,237 )     18,536             (22,641 )
Provision for income taxes 
    386                           386  
Equity in (loss) income of subsidiaries
    (18,701 )                 18,701        
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
 
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,755,431     $ 29,665     $ (29,665 )   $ 1,755,431  
Cost of sales
          1,545,282                   1,545,282  
Gross profit
          210,149       29,665       (29,665 )     210,149  
Operating expenses (income):
                                       
Selling, general and administrative
    3,728       244,398       (10,604 )     (29,665 )     207,857  
Depreciation and amortization
          6,790       3,772             10,562  
Total operating expenses (income)
    3,728       251,188       (6,832 )     (29,665 )     218,419  
Operating (loss) income
    (3,728 )     (41,039 )     36,497             (8,270 )
Non-operating expenses:
                                       
Interest expense
          12,528       17,982             30,510  
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Other expense (income), net
          516       (15 )           501  
(Loss) income before provision for income taxes
    (3,728 )     (52,407 )     18,530             (37,605 )
Provision for income taxes 
    459       503                   962  
Equity in (loss) income of subsidiaries
    (34,380 )                 34,380        
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
Schedule of condensed consolidating balance sheet
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of January 4, 2014 follows (in thousands):
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 47     $ 4,987     $     $     $ 5,034  
Receivables
          150,297                   150,297  
Inventories
          223,580                   223,580  
Deferred income tax asset, net
                397       (397 )      
Other current assets
    790       20,208       1,816             22,814  
Intercompany receivable
    68,454       26,374             (94,828 )      
Total current assets
    69,291       425,446       2,213       (95,225 )     401,725  
Property and equipment:
                                       
Land and land improvements
          4,040       37,136             41,176  
Buildings
          10,839       79,243             90,082  
Machinery and equipment
          73,004                   73,004  
Construction in progress
          3,028                   3,028  
Property and equipment, at cost
          90,911       116,379             207,290  
Accumulated depreciation
          (64,557 )     (31,614 )           (96,171 )
Property and equipment, net
          26,354       84,765             111,119  
Investment in subsidiaries
    (47,735 )                 47,735        
Non-current deferred income tax assets, net
          1,221           (397 )     824  
Other non-current assets
          11,768       4,810             16,578  
Total assets
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 1,080     $ 59,283     $     $       60,363  
Bank overdrafts
          19,377                   19,377  
Accrued compensation
          4,173                   4,173  
Current maturities of long-term debt
                9,141             9,141  
Deferred income tax liabilities, net
          1,220           (397 )     823  
Other current liabilities
          11,727       1,222             12,949  
Intercompany payable
    26,374       68,454             (94,828 )      
Total current liabilities
    27,454       164,234       10,363       (95,225 )     106,826  
Non-current liabilities:
                                       
Long-term debt
          211,193       177,802             388,995  
Non-current deferred income taxes
                397       (397      
Other non-current liabilities
          40,323                   40,323  
Total liabilities
    27,454       415,750       188,562       (95,622 )     536,144  
Stockholders’ (deficit) equity/Parent’s Investment
    (5,898 )     49,039       (96,774 )     47,735     (5,898 )
Total liabilities and (deficit) equity
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
 
 
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of December 29, 2012 follows (in thousands):
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 28     $ 5,160     $     $     $ 5,188  
Receivables
          157,465                   157,465  
Inventories
          230,059                   230,059  
Other current assets
    1,596       17,790       41             19,427  
Intercompany receivable
    73,981       28,814             (102,795 )      
Total current assets
    75,605       439,288       41       (102,795 )     412,139  
Property and equipment:
                                       
Land and land improvements
          3,250       39,870             43,120  
Buildings
          10,213       83,857             94,070  
Machinery and equipment
          78,674                   78,674  
Construction in progress
          1,173                   1,173  
Property and equipment, at cost
          93,310       123,727             217,037  
Accumulated depreciation
          (71,583 )     (30,101 )           (101,684 )
Property and equipment, net
          21,727       93,626             115,353  
Investment in subsidiaries
    (67,053 )                 67,053        
Non-current deferred income tax assets, net
          445                   445  
Other non-current assets
          10,646       6,153             16,799  
Total assets
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 203     $ 77,257     $ 390     $       77,850  
Bank overdrafts
          35,384                   35,384  
Accrued compensation
    127       6,043                   6,170  
Current maturities of long-term debt
                8,946             8,946  
Deferred income tax liabilities, net
          449                   449  
Other current liabilities
          9,831       1,106             10,937  
Intercompany payable
    28,814       73,981             (102,795 )      
Total current liabilities
    29,144       202,945       10,442       (102,795 )     139,736  
Non-current liabilities:
                                       
Long-term debt
          171,412       197,034             368,446  
Other non-current liabilities
          57,146                   57,146  
Total liabilities
    29,144       431,503       207,476       (102,795 )     565,328  
Stockholders’ (deficit) equity/Parent’s Investment
    (20,592 )     40,603       (107,656 )     67,053       (20,592 )
Total liabilities and (deficit) equity
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
Schedule of condensed consolidating statement of cash flows
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
Eliminations
   
Consolidated
 
Cash flows from operating activities:                                        
Net (loss) income   $ (40,618 )   $ (49,205 )   $ 14,343     $ 34,862     $ (40,618 )
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                                        
Depreciation and amortization           5,700       3,417             9,117  
Amortization of debt issue costs           1,841       1,343             3,184  
Write-off of debt issuance costs           119                   119  
Loss (gain) from sale of properties           554       (5,774 )           (5,220 )
Gain from property insurance settlement                              
Vacant property charges, net           1,321                   1,321  
Severance charges           5,607                   5,607  
Payments on modification of lease agreement           (300 )                 (300 )
Deferred income tax benefit           (5 )     (397)       397       (5 )
Intraperiod income tax allocation related to the hourly pension plan           (8,894 )                 (8,894 )
Pension expense         4,591                 4,591  
Share-based compensation, excluding restructuring related     904       2,318                   3,222  
Share-based compensation, restructuring related           2,895                   2,895  
Increase in restricted cash related to insurance and other           (1,810 )                 (1,810 )
Accrued compensation and other     684       (10,064 )     625       (397)       (9,152 )
Equity (deficit) in earnings of subsidiaries     34,862                   (34,862 )      
Intercompany receivable     5,527       2,440             (7,967 )      
Intercompany payable     (2,440 )     (5,527 )           7,967        
      (1,081 )     (48,419 )     13,557             (35,943 )
Changes in primary working capital components:                                        
Receivables           7,168                   7,168  
Inventories           6,479                   6,479  
Accounts payable     779       (17,973 )     (391 )           (17,585 )
Net cash (used in) provided by operating activities     (302 )     (52,745 )     13,166             (39,881 )
Cash flows from investing activities:                                        
Investment in subsidiaries     (35,202 )     38,663       (3,461 )            
Property, plant and equipment investments           (4,912 )                 (4,912 )
Proceeds from disposition of assets           1,072       9,293             10,365  
Net cash provided by (used in) investing activities     (35,202 )     34,823       5,832             5,453  
Cash flows from financing activities:                                        
Excess tax benefits from share-based compensation arrangements           16                   16  
Repurchase of shares to satisfy employee tax withholdings     (3,192 )                       (3,192 )
Repayments on revolving credit facilities           (560,186 )                 (560,186 )
Borrowings on revolving credit facilities           599,968                   599,968  
Payments of principal on mortgage                 (19,038 )           (19,038 )
Payments on capital lease obligations           (3,142 )                 (3,142 )
(Decrease) increase in bank overdrafts           (16,007 )                 (16,007 )
Increase in restricted cash related to the mortgage                 40             40  
Proceeds from rights offering, less expenses paid     38,715                         38,715  
Debt issuance costs           (2,900 )                 (2,900 )
Net cash provided by (used in) financing activities     35,523       17,749       (18,998 )           34,274
Increase (decrease) in cash     19       (173 )                 (154 )
Balance, beginning of period     28       5,160                   5,188  
Balance, end of period   $ 47     $ 4,987     $     $     $ 5,034  
Supplemental cash flow information:                                        
Net income tax refunds (income taxes paid) during the period   $     $ (61 )   $ (271 )   $     $ (332 )
Interest paid during the period   $ 13,480     $ 11,226     $     $     $ 24,706  
                                         
Noncash transactions:                                        
Capital leases   $     $ 5,069     $     $     $ 5,069  
 
 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
Adjustments to reconcile net (loss) income to cash (used in) provided by operations:
                                       
Depreciation and amortization
          5,040       3,525             8,565  
Amortization of debt issue costs
          2,471       1,275             3,746  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (9,885 )           (9,885 )
Gain from property insurance settlement
                (476 )           (476 )
Vacant property charges, net
          (30 )                 (30 )
Severance charges
                             
Payments on modification of lease agreement
          (5,875 )                 (5,875 )
Deferred income tax benefit
          (20 )                 (20 )
Pension expense
          3,942                 3,942
Share-based compensation, excluding restructuring related
    528       2,269                   2,797  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          695                   695  
Accrued compensation and other
    (971 )     875       (561 )           (657
Equity (deficit) in earnings of subsidiaries
    18,701                   (18,701 )      
Intercompany receivable
    (6,940 )     (10,332 )           17,272        
Intercompany payable
    10,332       6,940             (17,272 )      
 
    (1,377 )     (31,262 )     12,414             (20,225 )
Changes in primary working capital components:
                                       
Receivables
          (18,593 )                 (18,593 )
Inventories
          (44,482 )                 (44,482 )
Accounts payable
    42       8,619       389             9,050  
Net cash (used in) provided by operating activities
    (1,335 )     (85,718 )     12,803             (74,250 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    1,862       154       (2,016 )            
Property, plant and equipment investments
          (2,826 )                   (2,826 )
Proceeds from disposition of assets
          997       18,198             19,195  
Net cash provided by (used in) investing activities
    1,862       (1,675 )     16,182             16,369  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repurchase of shares to satisfy employee tax withholdings
    (526 )                       (526 )
Repayments on revolving credit facilities
          (473,349 )                 (473,349 )
Borrowings on revolving credit facilities
          550,270                   550,270  
Principal payments on mortgage
                (37,272 )           (37,272 )
Payments on capital lease obligations
          (2,259 )                 (2,259 )
Increase in bank overdrafts
          13,020                   13,020  
Decrease in restricted cash related to the mortgage
                9,970             9,970  
Debt financing costs
                (1,683 )           (1,683 )
Net cash (used in) provided by financing activities
    (526 )     87,682       (28,985 )           58,171  
Increase in cash
    1       289                   290  
Cash and cash equivalents balance, beginning of period
    27       4,871                   4,898  
Cash and cash equivalents balance, end of period
  $ 28     $ 5,160     $     $     $ 5,188  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 37     $ (545 )   $     $ (508 )
Interest paid during the period
  $     $ 9,309     $ 14,979     $     $ 24,288  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 5,238     $     $     $ 5,238  
 
 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
Adjustments to reconcile net (loss) income to cash  (used in) provided by operations:
                                       
Depreciation and amortization
          6,790       3,772             10,562  
Amortization of debt issue costs
          1,983       957             2,940  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (10,604 )           (10,604 )
Gain from property insurance settlement
                (1,230 )           (1,230 )
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Vacant property charges, net
          (291 )                 (291 )
Severance charges
                             
Gain on modification of lease agreement
          (1,971 )                 (1,971 )
Deferred income tax benefit
          (25 )                 (25 )
Pension expense
          1,774                 1,774
Share-based compensation, excluding restructuring related
          1,602       372             1,974  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          987                   987  
Accrued compensation and other
    167             (2,104 )     (1,244 )     (3,181 )
Equity in earnings of subsidiaries
    34,380                   (34,380 )      
Intercompany receivable
    (9,829 )     (9,727 )           19,556        
Intercompany payable
    9,218       9,094             (18,312 )      
 
    (4,631 )     (44,370     9,693             (39,308 )
Changes in assets and liabilities:
                                       
Receivables
          (19,670 )                 (19,670 )
Inventories
          2,673                   2,673  
Accounts payable
    102       5,871                   5,973  
Net cash (used in) provided by operating activities
    (4,529 )     (55,496 )     9,693             (50,332 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    (54,349 )     55,209       (860 )            
Property, plant and equipment investments
          (3,203 )     (3,330 )           (6,533 )
Proceeds from sale of assets
          504       17,851             18,355  
Net cash (used in) provided by investing activities
    (54,349 )     52,510       13,661             11,822  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repayments on revolving credit facilities
          (478,630 )                 (478,630 )
Borrowings on revolving credit facilities
          475,918                   475,918  
Principal payments on mortgage
                (42,416 )           (42,416 )
Payments on capital lease obligations
          (1,440 )                 (1,440 )
Decrease in bank overdrafts
          (725 )                 (725 )
Decrease in restricted cash related to the mortgage
                20,604             20,604  
Debt financing costs
          (1,179 )     (1,542 )           (2,721 )
Proceeds from stock offering less expenses paid
    58,521                         58,521  
Net cash provided by (used in) financing activities
    58,521       (6,056 )     (23,354 )           29,111  
Decrease in cash
    (357 )     (9,042 )                 (9,399 )
Cash and cash equivalents balance, beginning of period
    384       13,913                   14,297  
Cash and cash equivalents balance, end of period
  $ 27     $ 4,871     $     $     $ 4,898  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 231     $ (253 )   $     $ (22 )
Interest paid during the period
  $     $ 10,783     $ 17,315     $     $ 28,098  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 3,131     $     $     $ 3,131  
Schedule of condensed consolidating statement of stockholders' equity (deficit)
 
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Balance, January 1, 2011
  $ 991     $ 94,273     $ (140,314 )   $ 46,041     $ 991  
Net (loss) income 
    (38,567 )     (52,910 )     18,530       34.380       (38,567 )
Foreign currency translation adjustment, net of tax
    (92 )     (92 )           92       (92 )
Unrealized (loss) income from pension plan, net of tax
    (14,969 )     (14,969 )           14,969       (14,969 )
Unrealized gain (loss) from cash flow hedge, net of tax
    519       519             (519 )     519  
Issuance of restricted stock, net of forfeitures
    7                         7  
Issuance of stock related to the rights offering, net of expenses
    58,521                         58,521  
Compensation related to share-based grants
    2,158                         2,158  
Impact of net settled shares for vested grants
    (194 )                       (194 )
                                         
Net transactions with the Parent
          56,805       (2,391 )     (54,414 )      
Balance, December 31, 2011
  $ 8,374     $ 83,626     $ (124,175 )   $ 40,549     $ 8,374  
Net (loss) income 
    (23,027 )     (37,237 )     18,536       18,701       (23,027 )
Foreign currency translation adjustment, net of tax
    103       103             (103 )     103  
Unrealized loss (income) from pension plan, net of tax
    (8,245 )     (8,245 )           8,245       (8,245 )
Issuance of restricted stock, net of forfeitures
    19       19             (19 )     19  
Compensation related to share-based grants
    2,730                         2,730  
Impact of net settled shares for vested grants
    (526 )                       (526 )
Other
    (20 )                       (20 )
                                         
Net transactions with the Parent
          2,337       (2,017 )     (320 )      
Balance, December 29, 2012
  $ (20,592 )   $ 40,603     $ (107,656 )   $ 67,053     $ (20,592 )
Net (loss) income 
    (40,618 )     (49,205 )     14,343       34,862       (40,618 )
Foreign currency translation adjustment, net of tax
    (161 )     (161 )           161       (161 )
Unrealized income (loss) from pension plan, net of tax
    13,910       13,910             (13,910 )     13,910  
Issuance of restricted stock, net of forfeitures
    6       6             (6 )     6  
Issuance of performance shares
    6       6             (6 )     6  
Issuance of stock related to the rights offering, net of expenses
    38,613                         38,613  
Compensation related to share-based grants
    6,117                         6,117  
Impact of net settled shares for vested grants
    (3,193 )                       (3,193 )
Excess tax benefits from share-based compensation arrangements
    16                         16  
Other
    (2 )                       (2 )
                                         
Net transactions with the Parent
          43,880       (3,461     (40,419 )      
                                         
Balance, January 4, 2014
  $ (5,898 )   $ 49,039     $ (96,774 )   $ 47,735     $ (5,898 )
XML 16 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details 3) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Income Taxes [Abstract]    
Balance at beginning of the year $ 78,050 $ 66,793
Valuation allowance removed for taxes related to:    
Income before income taxes      
Valuation allowance provided for taxes related to:    
Loss before income taxes 10,229 11,257
Effect of a change in judgment      
Balance at end of the year $ 88,279 $ 78,050
XML 17 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges (Details) (2013 Facility Lease Obligation and Severance Costs, USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Restructuring Cost and Reserve [Line Items]  
Balance at December 29, 2012 $ 0
Charges 7,107
Assumption changes (179)
Payments (3,459)
Accretion of Liability 9
Balance at January 4, 2014 3,478
Reduction in Force Activities
 
Restructuring Cost and Reserve [Line Items]  
Balance at December 29, 2012 0
Charges 5,709
Assumption changes (102)
Payments (3,057)
Accretion of Liability   
Balance at January 4, 2014 2,550
Facility Lease Obligation
 
Restructuring Cost and Reserve [Line Items]  
Balance at December 29, 2012 0
Charges 1,398
Assumption changes (77)
Payments (402)
Accretion of Liability 9
Balance at January 4, 2014 $ 928
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Employee Benefits (Detail Textuals) (USD $)
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Employee Benefits [Abstract]      
Contribution to union administered multiemployer pension plans $ 1,300,000 $ 1,300,000 $ 1,200,000
Unfunded status 27,885,000 46,570,000  
Net adjustment to other comprehensive loss before tax 22,800,000 (8,200,000) (15,000,000)
Net adjustment to other comprehensive loss net of tax 13,910,000 (8,245,000) (14,969,000)
Estimated net loss expected to be amortized from accumulated other comprehensive loss into net periodic cost over the next fiscal year 800,000    
Accumulated benefit obligation for the hourly pension plan 103,700,000 111,100,000  
Contributions to the hourly defined contribution plan 100,000 100,000 100,000
Contributions to the salaried defined contribution plan 1,100,000 1,000,000  
Net adjustment to other comprehensive loss tax effect $ 8,900,000    
XML 20 R55.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details 4) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Reconciliation of Unrecognized Tax Benefits, Excluding Amounts Pertaining to Examined Tax Returns [Roll Forward]      
Balance at beginning of the year $ 826 $ 873 $ 677
Increases related to current year tax positions         
Additions for tax positions in prior years       196
Reductions for tax positions in prior years         
Reductions due to lapse of applicable statute of limitations (567) (47)  
Settlements         
Balance at end of the year $ 259 $ 826 $ 873
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Mortgage (Detail Textuals) (USD $)
In Millions, unless otherwise specified
1 Months Ended 3 Months Ended 12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Sep. 19, 2012
Mortgage
Jan. 04, 2014
Mortgage
Sep. 28, 2013
Mortgage
Sep. 29, 2012
Mortgage
Mar. 31, 2012
Mortgage
Jan. 04, 2014
Mortgage
Facility
Debt Instrument [Line Items]                
Mortgage loan with German American Capital Corporation       $ 295       $ 295
Mortgage loan term               10 years
Mortgage loan balance 186.9 206.0            
Distribution facilities               50
Mortgage interest rate       6.35%       6.35%
Payment of indebtedness under the mortgage     11.8          
Collateral to be remitted to mortgage company after amendment of mortgage     10.0          
Collateral to be remitted to borrower after amendment of mortgage     10.0          
Funds transferred as collateral in next twelve months     13.2          
Funds transferred as collateral for mortgage loans remitted for use     7.3          
Debt fees capitalized and amortized over the remaining term of the mortgage     0.3          
Increase in restricted cash       1.9 8.4 12.8 0.3  
Amount held in collateral               6.3
Amount released to pay for usual and customary operating expenses               $ 2.7

XML 23 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Detail Textuals 3) (Long-Term Incentive Plan 2006, Performance Shares)
12 Months Ended
Jan. 04, 2014
Long-Term Incentive Plan 2006 | Performance Shares
 
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]  
Performance shares granted and approved during the period 2,969,424
Performance shares expected to vest 2,192,868
XML 24 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employee Benefits (Tables)
12 Months Ended
Jan. 04, 2014
Employee Benefits [Abstract]  
Schedule of changes in projected benefit obligations and change in plan assets
 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Change in projected benefit obligation:
           
Projected benefit obligation at beginning of period
  $ 114,330     $ 99,425  
Service cost
    2,193       1,878  
Interest cost
    4,750       4,885  
Actuarial (gain) loss
    (10,710 )     12,183  
Curtailment
    (910 )      
Benefits paid
    (4,729 )     (4,041 )
Projected benefit obligation at end of period
    104,924       114,330  
Change in plan assets:
               
Fair value of assets at beginning of period
    67,760       63,896  
Actual return on plan assets
    13,536       6,758  
Employer contributions
    472       1,147  
Benefits paid
    (4,729 )     (4,041 )
Fair value of assets at end of period
    77,039       67,760  
Net (unfunded) status of plan
  $ (27,885 )   $ (46,570 )
Schedule of amounts recognized on consolidated balance sheets
 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Unfunded status                                                                                                                            
  $ (27,885 )   $ (46,570 )
Unrecognized prior service cost
    1       2  
Unrecognized actuarial loss
    14,656       37,459  
Net amount recognized
  $ (13,228 )   $ (9,109 )
Amounts recognized on the balance sheet consist of:
               
Accrued pension liability
    (27,885 )     (46,570 )
Accumulated other comprehensive loss (pre-tax)
    14,657       37,461  
Net amount recognized
  $ (13,228 )   $ (9,109 )
Schedule of net periodic pension cost for pension plans
 
   
Fiscal Year Ended
January 4,
2014
   
Fiscal Year Ended
December 29,
2012
   
Fiscal Year Ended
December 31,
2011
 
   
(In thousands)
 
Service cost                                                                                              
  $ 2,193     $ 1,878     $ 2,091  
Interest cost on projected benefit obligation
    4,750       4,885       4,609  
Expected return on plan assets
    (5,225 )     (4,897 )     (5,505 )
Amortization of unrecognized loss
    2,873       2,077       579  
Amortization of unrecognized prior service cost
                 
Net periodic pension cost
  $ 4,591     $ 3,943     $ 1,774  
Schedule of assumptions used to determine the projected benefit obligation
 
   
January 4,
2014
 
December 29,
2012
Projected benefit obligation:
           
Discount rate
    5.00 %     4.24 %
Average rate of increase in future compensation levels
 
Graded 5.5%-2.5
    3.00 %
Net periodic pension cost
               
Discount rate
    4.24 %     5.02 %
Average rate of increase in future compensation levels
    3.00 %     3.00 %
Expected long-term rate of return on plan assets
    7.85 %     7.85 %
Schedule of percentage of fair value of total assets by asset category
 
Asset Category
 
 
January 4,
2014
   
December 29,
2012
 
Equity securities — domestic                                                                                                                            
    55 %     56 %
Equity securities — international
    16 %     9 %
Fixed income
    24 %     31 %
Other
    5 %     4 %
Total
    100 %     100 %
 
Schedule of fair value of plan assets by asset category
 
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 42,710  
Equity securities — international
    12,067  
Fixed income
    18,836  
Other
    3,426  
Total
  $ 77,039  
 
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 37,623  
Equity securities — international
    6,304  
Fixed income
    20,848  
Other
    2,985  
Total
  $ 67,760  
Schedule of estimated future benefit payments
 
Fiscal Year Ending
   
(In thousands)
 
January 3, 2015
    4,998  
January 2, 2016
    5,332  
December 31, 2016
    5,641  
December 30, 2017
    5,914  
December 29, 2018
    6,206  
Thereafter
    34,372  
 
XML 25 R79.htm IDEA: XBRL DOCUMENT v2.4.0.8
Derivatives (Detail Textuals) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Jan. 04, 2014
Derivative [Line Items]    
Changes associated with the ineffective interest rate swap $ 1,676  
Interest rate swap
   
Derivative [Line Items]    
Fair value of interest swap liability 0 0
Changes associated with the ineffective interest rate swap 1,700  
Amortization of remaining accumulated other comprehensive loss of ineffective swap 500  
Portion of net income related to reducing fair value of ineffective interest rate swap liability $ 2,200  
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Employee Benefits (Detail Textuals 3) (USD $)
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Defined Benefit Plan Disclosure [Line Items]      
Decrease in the unfunded obligation $ 18,700,000    
Actuarial gain (loss) 10,710,000 (12,183,000)  
Actual return on plan assets 13,536,000 6,758,000  
Amount of decrease to liability related to freeze of our non union pension plan 900,000    
Amount of increase in the liability 6,900,000    
Employer contributions 472,000 1,147,000  
Discount rate on projected benefit obligation 5.00% 4.24%  
Change in the discount rate 0.25%    
Revised discount rate 5.25%    
Reduction in projected benefit obligation due to change in discount rate 3,100,000    
Discount rate on net periodic pension cost 4.24% 5.02% 5.02%
Net periodic pension costs 4,600,000 3,900,000  
Average rate of increase in future compensation levels   3.00%  
Change in estimated rate of future compensation increases 0.25%    
Revised estimated rate of future compensation increases 2.50%    
Increase in projected benefit obligation due to change in estimated rate of future compensation 100,000    
Recognized net gain (loss) due to curtailments $ 900,000    
Minimum
     
Defined Benefit Plan Disclosure [Line Items]      
Average rate of increase in future compensation levels 2.50%    
Revised estimated rate of future compensation increases 2.75%    
Maximum
     
Defined Benefit Plan Disclosure [Line Items]      
Average rate of increase in future compensation levels 5.50%    
Revised estimated rate of future compensation increases 5.75%    
XML 28 R89.htm IDEA: XBRL DOCUMENT v2.4.0.8
Unaudited Selected Quarterly Financial Data (Detail Textuals)
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Selected Quarterly Financial Information [Abstract]                      
Basic and diluted weighted average number of common shares outstanding (in shares) 84,818,331 [1] 84,595,708 [2] 84,167,120 [3] 66,713,964 [4] 65,493,920 [5] 65,472,685 [6] 65,471,450 [7] 65,368,259 [8] 80,163,000 65,452,000 47,049,000
Unvested share-based awards 4,595,650 5,136,430 5,203,076 5,512,899 4,460,054   4,515,590 4,519,590      
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 29 R57.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Detail Textuals 1) (USD $)
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Income Taxes [Abstract]                      
Federal statutory income tax rate                 35.00%    
Tax expense (benefit) $ (12,491,000) [1] $ (2,134,000) [2] $ (9,105,000) [3] $ (4,637,000) [4] $ (4,305,000) [5] $ 1,078,000 [6] $ (1,157,000) [7] $ (3,969,000) [8] $ (9,013,000) $ 386,000 $ 962,000
Current state income tax expense                 192,000 334,000 759,000
Current foreign income tax expense                 19,000 56,000 317,000
Unrecognized tax benefits 300,000       800,000       300,000 800,000  
Tax benefit for an uncertain tax position                 600,000    
Non-cash tax benefit on the loss from continuing operations $ 8,700,000               $ 8,700,000    
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 30 R76.htm IDEA: XBRL DOCUMENT v2.4.0.8
Revolving Credit Facilities (Detail Textuals 1) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Line of Credit Facility [Line Items]    
Minimum amount of excess availability required to prevent lender maintained lock-box arrangement $ 35  
U.S. | Revolving Credit Facility | Wells Fargo Bank
   
Line of Credit Facility [Line Items]    
Minimum amount of excess availability required to avoid lender dominion of our accounts 37.1  
Minimum amount of excess availability required to avoid lender dominion of our accounts as a percentage of the revolving credit facility balance 15.00%  
Outstanding lines of credit 207.9 169.5
Revolving credit facility excess availability 44.5 86.0
Interest rate on revolving credit facility 3.70% 4.10%
Bluelinx Building Products Canada Ltd | Canada | Revolving Credit Facility | CIBC Asset Based Lending Inc
   
Line of Credit Facility [Line Items]    
Outstanding lines of credit 3.3 1.9
Revolving credit facility excess availability 1.3 2.0
Interest rate on revolving credit facility 4.00% 4.00%
Canadian minimum adjusted tangible net worth covenant $ 3.9  
Canadian capital expenditures maximum percentage limit covenant 120.00%  
XML 31 R86.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Loss (Details 1) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Reclassification Adjustment out of Accumulated Other Comprehensive Income [Line Items]  
Total, net of tax $ 13,910
Reclassifications out of accumulated other comprehensive loss
 
Reclassification Adjustment out of Accumulated Other Comprehensive Income [Line Items]  
Actuarial gain 22,804 [1]
Tax impact 8,894 [2]
Total, net of tax $ 13,910
[1] This accumulated other comprehensive loss component is included in the computation of net periodic pension cost. Refer to Note 8 of the Notes to Consolidated Financial Statements for the required disclosures.
[2] We allocated income tax expense to accumulated other comprehensive loss to the extent income was recorded in accumulated other comprehensive loss and we have a loss from continuing operations. Refer to Note 5 of the Notes to Consolidated Financial Statements for the required disclosures.
XML 32 R81.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Commitments and Contingencies [Abstract]  
2014 $ 4,391
2015 3,968
2016 4,036
2017 4,060
2018 3,498
Thereafter 10,060
Total $ 30,013
XML 33 R87.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Loss (Detail Textuals) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]      
Other comprehensive income (loss), net $ 13.7 $ (8.1) $ (14.5)
XML 34 R77.htm IDEA: XBRL DOCUMENT v2.4.0.8
Mortgage (Details) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Mortgage outstanding principal balance  
2014 $ 2,761
2015 2,744
2016 181,438
2017   
2018   
Thereafter   
Total $ 186,943
XML 35 R71.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employee Benefits (Detail Textuals 1)
12 Months Ended
Jan. 04, 2014
Asset allocation structure of the portfolio  
Compound annualized risk free rate 3.78%
Expected overall portfolio return percentage 8.35%
Percentage of estimated expense 0.50%
Net long term rate of return 7.85%
Equities
 
Asset allocation structure of the portfolio  
Asset allocation structure of the portfolio 65.00%
Equity securities - domestic
 
Asset allocation structure of the portfolio  
Target allocations for fiscal 2013 50.00%
Equity securities - international
 
Asset allocation structure of the portfolio  
Target allocations for fiscal 2013 15.00%
Fixed income
 
Asset allocation structure of the portfolio  
Asset allocation structure of the portfolio 30.00%
Target allocations for fiscal 2013 30.00%
Other
 
Asset allocation structure of the portfolio  
Asset allocation structure of the portfolio 5.00%
Target allocations for fiscal 2013 5.00%
XML 36 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Condensed Consolidating Financial Statements
12 Months Ended
Jan. 04, 2014
Supplemental Condensed Consolidating Financial Statements [Abstract]  
Supplemental Condensed Consolidating Financial Statements
19.  Supplemental Condensed Consolidating Financial Statements
 
The condensed consolidating financial information as of January 4, 2014, and December 29, 2012 and for fiscal 2013, fiscal 2012, and fiscal 2011 is provided due to restrictions in our revolving credit facility that limit distributions by BlueLinx Corporation, our operating company and our wholly-owned subsidiary, to us, which, in turn, may limit our ability to pay dividends to holders of our common stock (see Note 10, Revolving Credit Facility, for a more detailed discussion of these restrictions and the terms of the facility). Also included in the supplemental condensed consolidated/combining financial statements are fifty-three single member limited liability companies, which are wholly owned by us (the “LLC subsidiaries”). The LLC subsidiaries own certain warehouse properties that are occupied by BlueLinx Corporation, each under the terms of a master lease agreement. The warehouse properties collateralize a mortgage loan and are not available to satisfy the debts and other obligations of either us or BlueLinx Corporation. Certain changes have been made to the prior year presentation to conform to the current year presentation.
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 2,151,972     $ 27,363     $ (27,363 )   $ 2,151,972  
Cost of sales
          1,923,489                   1,923,489  
Gross profit
          228,483       27,363       (27,363 )     228,483  
Operating expenses (income):
                                       
Selling, general and administrative
    5,913       267,232       (5,115 )     (27,363 )     240,667  
Depreciation and amortization
          5,700       3,417             9,117  
Total operating expenses (income)
    5,913       272,932       (1,698 )   (27,363 )     249,784  
Operating (loss) income
    (5,913 )     (44,449 )     29,061             (21,301 )
Non-operating expenses:
                                       
Interest expense
          13,686       14,338             28,024  
Other expense (income), net
          318       (12 )           306  
(Loss) income before provision for (benefit from) income taxes
    (5,913 )     (58,453 )     14,735             (49,631 )
Provision for (benefit from) income taxes
    (157 )     (9,248 )     392             (9,013 )
Equity in (loss) income of subsidiaries
    (34,862 )                 34,862        
Net (loss) income
  $ (40,618 )   $ (49,205 )   $ 14,343     $ 34,862     $ (40,618 )
 
The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,907,842     $ 28,330     $ (28,330 )   $ 1,907,842  
Cost of sales
          1,677,772                   1,677,772  
Gross profit
          230,070       28,330       (28,330 )     230,070  
Operating expenses (income):
                                       
Selling, general and administrative
    3,940       250,098       (9,712 )     (28,330 )     215,996  
Depreciation and amortization
          5,040       3,525             8,565  
Total operating expenses (income)
    3,940       255,138       (6,187 )     (28,330 )     224,561  
Operating (loss) income
    (3,940 )     (25,068 )     34,517             5,509  
Non-operating expenses:
                                       
Interest expense
          12,159       15,998             28,157  
Other expense (income), net
          10       (17 )           (7 )
(Loss) income before provision for income taxes
    (3,940 )     (37,237 )     18,536             (22,641 )
Provision for income taxes 
    386                           386  
Equity in (loss) income of subsidiaries
    (18,701 )                 18,701        
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
 
 
       The condensed consolidating statement of operations for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
                                         
   
BlueLinx
Holdings
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Net sales                                                                             
  $     $ 1,755,431     $ 29,665     $ (29,665 )   $ 1,755,431  
Cost of sales
          1,545,282                   1,545,282  
Gross profit
          210,149       29,665       (29,665 )     210,149  
Operating expenses (income):
                                       
Selling, general and administrative
    3,728       244,398       (10,604 )     (29,665 )     207,857  
Depreciation and amortization
          6,790       3,772             10,562  
Total operating expenses (income)
    3,728       251,188       (6,832 )     (29,665 )     218,419  
Operating (loss) income
    (3,728 )     (41,039 )     36,497             (8,270 )
Non-operating expenses:
                                       
Interest expense
          12,528       17,982             30,510  
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Other expense (income), net
          516       (15 )           501  
(Loss) income before provision for income taxes
    (3,728 )     (52,407 )     18,530             (37,605 )
Provision for income taxes 
    459       503                   962  
Equity in (loss) income of subsidiaries
    (34,380 )                 34,380        
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
 
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of January 4, 2014 follows (in thousands):
                                         
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 47     $ 4,987     $     $     $ 5,034  
Receivables
          150,297                   150,297  
Inventories
          223,580                   223,580  
Deferred income tax asset, net
                397       (397 )      
Other current assets
    790       20,208       1,816             22,814  
Intercompany receivable
    68,454       26,374             (94,828 )      
Total current assets
    69,291       425,446       2,213       (95,225 )     401,725  
Property and equipment:
                                       
Land and land improvements
          4,040       37,136             41,176  
Buildings
          10,839       79,243             90,082  
Machinery and equipment
          73,004                   73,004  
Construction in progress
          3,028                   3,028  
Property and equipment, at cost
          90,911       116,379             207,290  
Accumulated depreciation
          (64,557 )     (31,614 )           (96,171 )
Property and equipment, net
          26,354       84,765             111,119  
Investment in subsidiaries
    (47,735 )                 47,735        
Non-current deferred income tax assets, net
          1,221           (397 )     824  
Other non-current assets
          11,768       4,810             16,578  
Total assets
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 1,080     $ 59,283     $     $       60,363  
Bank overdrafts
          19,377                   19,377  
Accrued compensation
          4,173                   4,173  
Current maturities of long-term debt
                9,141             9,141  
Deferred income tax liabilities, net
          1,220           (397 )     823  
Other current liabilities
          11,727       1,222             12,949  
Intercompany payable
    26,374       68,454             (94,828 )      
Total current liabilities
    27,454       164,234       10,363       (95,225 )     106,826  
Non-current liabilities:
                                       
Long-term debt
          211,193       177,802             388,995  
Non-current deferred income taxes
                397       (397      
Other non-current liabilities
          40,323                   40,323  
Total liabilities
    27,454       415,750       188,562       (95,622 )     536,144  
Stockholders’ (deficit) equity/Parent’s Investment
    (5,898 )     49,039       (96,774 )     47,735     (5,898 )
Total liabilities and (deficit) equity
  $ 21,556     $ 464,789     $ 91,788     $ (47,887 )   $ 530,246  
 
 
The condensed consolidating balance sheet for BlueLinx Holdings Inc. as of December 29, 2012 follows (in thousands):
                                         
   
 
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and
Subsidiaries
   
 
 
LLC
Subsidiaries
   
 
 
 
Eliminations
   
 
 
 
Consolidated
 
Assets:
                             
Current assets:
                             
Cash
  $ 28     $ 5,160     $     $     $ 5,188  
Receivables
          157,465                   157,465  
Inventories
          230,059                   230,059  
Other current assets
    1,596       17,790       41             19,427  
Intercompany receivable
    73,981       28,814             (102,795 )      
Total current assets
    75,605       439,288       41       (102,795 )     412,139  
Property and equipment:
                                       
Land and land improvements
          3,250       39,870             43,120  
Buildings
          10,213       83,857             94,070  
Machinery and equipment
          78,674                   78,674  
Construction in progress
          1,173                   1,173  
Property and equipment, at cost
          93,310       123,727             217,037  
Accumulated depreciation
          (71,583 )     (30,101 )           (101,684 )
Property and equipment, net
          21,727       93,626             115,353  
Investment in subsidiaries
    (67,053 )                 67,053        
Non-current deferred income tax assets, net
          445                   445  
Other non-current assets
          10,646       6,153             16,799  
Total assets
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
Liabilities:
                                       
Current liabilities:
                                       
Accounts payable
  $ 203     $ 77,257     $ 390     $       77,850  
Bank overdrafts
          35,384                   35,384  
Accrued compensation
    127       6,043                   6,170  
Current maturities of long-term debt
                8,946             8,946  
Deferred income tax liabilities, net
          449                   449  
Other current liabilities
          9,831       1,106             10,937  
Intercompany payable
    28,814       73,981             (102,795 )      
Total current liabilities
    29,144       202,945       10,442       (102,795 )     139,736  
Non-current liabilities:
                                       
Long-term debt
          171,412       197,034             368,446  
Other non-current liabilities
          57,146                   57,146  
Total liabilities
    29,144       431,503       207,476       (102,795 )     565,328  
Stockholders’ (deficit) equity/Parent’s Investment
    (20,592 )     40,603       (107,656 )     67,053       (20,592 )
Total liabilities and (deficit) equity
  $ 8,552     $ 472,106     $ 99,820     $ (35,742 )   $ 544,736  
 
 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended January 4, 2014 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
Eliminations
   
Consolidated
 
Cash flows from operating activities:                                        
Net (loss) income   $ (40,618 )   $ (49,205 )   $ 14,343     $ 34,862     $ (40,618 )
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                                        
Depreciation and amortization           5,700       3,417             9,117  
Amortization of debt issue costs           1,841       1,343             3,184  
Write-off of debt issuance costs           119                   119  
Loss (gain) from sale of properties           554       (5,774 )           (5,220 )
Gain from property insurance settlement                              
Vacant property charges, net           1,321                   1,321  
Severance charges           5,607                   5,607  
Payments on modification of lease agreement           (300 )                 (300 )
Deferred income tax benefit           (5 )     (397)       397       (5 )
Intraperiod income tax allocation related to the hourly pension plan           (8,894 )                 (8,894 )
Pension expense         4,591                 4,591  
Share-based compensation, excluding restructuring related     904       2,318                   3,222  
Share-based compensation, restructuring related           2,895                   2,895  
Increase in restricted cash related to insurance and other           (1,810 )                 (1,810 )
Accrued compensation and other     684       (10,064 )     625       (397)       (9,152 )
Equity (deficit) in earnings of subsidiaries     34,862                   (34,862 )      
Intercompany receivable     5,527       2,440             (7,967 )      
Intercompany payable     (2,440 )     (5,527 )           7,967        
      (1,081 )     (48,419 )     13,557             (35,943 )
Changes in primary working capital components:                                        
Receivables           7,168                   7,168  
Inventories           6,479                   6,479  
Accounts payable     779       (17,973 )     (391 )           (17,585 )
Net cash (used in) provided by operating activities     (302 )     (52,745 )     13,166             (39,881 )
Cash flows from investing activities:                                        
Investment in subsidiaries     (35,202 )     38,663       (3,461 )            
Property, plant and equipment investments           (4,912 )                 (4,912 )
Proceeds from disposition of assets           1,072       9,293             10,365  
Net cash provided by (used in) investing activities     (35,202 )     34,823       5,832             5,453  
Cash flows from financing activities:                                        
Excess tax benefits from share-based compensation arrangements           16                   16  
Repurchase of shares to satisfy employee tax withholdings     (3,192 )                       (3,192 )
Repayments on revolving credit facilities           (560,186 )                 (560,186 )
Borrowings on revolving credit facilities           599,968                   599,968  
Payments of principal on mortgage                 (19,038 )           (19,038 )
Payments on capital lease obligations           (3,142 )                 (3,142 )
(Decrease) increase in bank overdrafts           (16,007 )                 (16,007 )
Increase in restricted cash related to the mortgage                 40             40  
Proceeds from rights offering, less expenses paid     38,715                         38,715  
Debt issuance costs           (2,900 )                 (2,900 )
Net cash provided by (used in) financing activities     35,523       17,749       (18,998 )           34,274
Increase (decrease) in cash     19       (173 )                 (154 )
Balance, beginning of period     28       5,160                   5,188  
Balance, end of period   $ 47     $ 4,987     $     $     $ 5,034  
Supplemental cash flow information:                                        
Net income tax refunds (income taxes paid) during the period   $     $ (61 )   $ (271 )   $     $ (332 )
Interest paid during the period   $ 13,480     $ 11,226     $     $     $ 24,706  
                                         
Noncash transactions:                                        
Capital leases   $     $ 5,069     $     $     $ 5,069  
 
 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 29, 2012 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (23,027 )   $ (37,237 )   $ 18,536     $ 18,701     $ (23,027 )
Adjustments to reconcile net (loss) income to cash (used in) provided by operations:
                                       
Depreciation and amortization
          5,040       3,525             8,565  
Amortization of debt issue costs
          2,471       1,275             3,746  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (9,885 )           (9,885 )
Gain from property insurance settlement
                (476 )           (476 )
Vacant property charges, net
          (30 )                 (30 )
Severance charges
                             
Payments on modification of lease agreement
          (5,875 )                 (5,875 )
Deferred income tax benefit
          (20 )                 (20 )
Pension expense
          3,942                 3,942
Share-based compensation, excluding restructuring related
    528       2,269                   2,797  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          695                   695  
Accrued compensation and other
    (971 )     875       (561 )           (657
Equity (deficit) in earnings of subsidiaries
    18,701                   (18,701 )      
Intercompany receivable
    (6,940 )     (10,332 )           17,272        
Intercompany payable
    10,332       6,940             (17,272 )      
 
    (1,377 )     (31,262 )     12,414             (20,225 )
Changes in primary working capital components:
                                       
Receivables
          (18,593 )                 (18,593 )
Inventories
          (44,482 )                 (44,482 )
Accounts payable
    42       8,619       389             9,050  
Net cash (used in) provided by operating activities
    (1,335 )     (85,718 )     12,803             (74,250 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    1,862       154       (2,016 )            
Property, plant and equipment investments
          (2,826 )                   (2,826 )
Proceeds from disposition of assets
          997       18,198             19,195  
Net cash provided by (used in) investing activities
    1,862       (1,675 )     16,182             16,369  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repurchase of shares to satisfy employee tax withholdings
    (526 )                       (526 )
Repayments on revolving credit facilities
          (473,349 )                 (473,349 )
Borrowings on revolving credit facilities
          550,270                   550,270  
Principal payments on mortgage
                (37,272 )           (37,272 )
Payments on capital lease obligations
          (2,259 )                 (2,259 )
Increase in bank overdrafts
          13,020                   13,020  
Decrease in restricted cash related to the mortgage
                9,970             9,970  
Debt financing costs
                (1,683 )           (1,683 )
Net cash (used in) provided by financing activities
    (526 )     87,682       (28,985 )           58,171  
Increase in cash
    1       289                   290  
Cash and cash equivalents balance, beginning of period
    27       4,871                   4,898  
Cash and cash equivalents balance, end of period
  $ 28     $ 5,160     $     $     $ 5,188  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 37     $ (545 )   $     $ (508 )
Interest paid during the period
  $     $ 9,309     $ 14,979     $     $ 24,288  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 5,238     $     $     $ 5,238  
 
 
The condensed consolidating statement of cash flows for BlueLinx Holdings Inc. for the fiscal year ended December 31, 2011 follows (in thousands):
                               
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
   
LLC
Subsidiaries
   
 
Eliminations
   
 
Consolidated
 
Cash flows from operating activities:
                             
Net (loss) income
  $ (38,567 )   $ (52,910 )   $ 18,530     $ 34,380     $ (38,567 )
Adjustments to reconcile net (loss) income to cash  (used in) provided by operations:
                                       
Depreciation and amortization
          6,790       3,772             10,562  
Amortization of debt issue costs
          1,983       957             2,940  
Write-off of debt issuance costs
                             
Gain from sale of properties
                (10,604 )           (10,604 )
Gain from property insurance settlement
                (1,230 )           (1,230 )
Changes associated with ineffective interest rate swap
          (1,676 )                 (1,676 )
Vacant property charges, net
          (291 )                 (291 )
Severance charges
                             
Gain on modification of lease agreement
          (1,971 )                 (1,971 )
Deferred income tax benefit
          (25 )                 (25 )
Pension expense
          1,774                 1,774
Share-based compensation, excluding restructuring related
          1,602       372             1,974  
Share-based compensation, restructuring related
                             
Decrease in restricted cash related to the ineffective interest swap, insurance, and other
          987                   987  
Accrued compensation and other
    167             (2,104 )     (1,244 )     (3,181 )
Equity in earnings of subsidiaries
    34,380                   (34,380 )      
Intercompany receivable
    (9,829 )     (9,727 )           19,556        
Intercompany payable
    9,218       9,094             (18,312 )      
 
    (4,631 )     (44,370     9,693             (39,308 )
Changes in assets and liabilities:
                                       
Receivables
          (19,670 )                 (19,670 )
Inventories
          2,673                   2,673  
Accounts payable
    102       5,871                   5,973  
Net cash (used in) provided by operating activities
    (4,529 )     (55,496 )     9,693             (50,332 )
Cash flows from investing activities:
                                       
Investment in subsidiaries
    (54,349 )     55,209       (860 )            
Property, plant and equipment investments
          (3,203 )     (3,330 )           (6,533 )
Proceeds from sale of assets
          504       17,851             18,355  
Net cash (used in) provided by investing activities
    (54,349 )     52,510       13,661             11,822  
Cash flows from financing activities:
                                       
Excess tax benefits from share-based compensation arrangements
                             
Repayments on revolving credit facilities
          (478,630 )                 (478,630 )
Borrowings on revolving credit facilities
          475,918                   475,918  
Principal payments on mortgage
                (42,416 )           (42,416 )
Payments on capital lease obligations
          (1,440 )                 (1,440 )
Decrease in bank overdrafts
          (725 )                 (725 )
Decrease in restricted cash related to the mortgage
                20,604             20,604  
Debt financing costs
          (1,179 )     (1,542 )           (2,721 )
Proceeds from stock offering less expenses paid
    58,521                         58,521  
Net cash provided by (used in) financing activities
    58,521       (6,056 )     (23,354 )           29,111  
Decrease in cash
    (357 )     (9,042 )                 (9,399 )
Cash and cash equivalents balance, beginning of period
    384       13,913                   14,297  
Cash and cash equivalents balance, end of period
  $ 27     $ 4,871     $     $     $ 4,898  
Supplemental cash flow information:
                                       
Net income tax refunds (income taxes paid) during the period
  $     $ 231     $ (253 )   $     $ (22 )
Interest paid during the period
  $     $ 10,783     $ 17,315     $     $ 28,098  
                                         
Noncash transactions:
                                       
Capital leases
  $     $ 3,131     $     $     $ 3,131  
 
 
The condensed consolidating statement of stockholders’ equity (deficit) for BlueLinx Holdings Inc. for fiscal 2011, fiscal 2012, and fiscal 2013 follows (in thousands):
 
   
BlueLinx
Holdings Inc.
   
BlueLinx
Corporation
and Subsidiaries
   
 
LLC
Subsidiaries
   
 
 
Eliminations
   
 
 
Consolidated
 
Balance, January 1, 2011
  $ 991     $ 94,273     $ (140,314 )   $ 46,041     $ 991  
Net (loss) income 
    (38,567 )     (52,910 )     18,530       34.380       (38,567 )
Foreign currency translation adjustment, net of tax
    (92 )     (92 )           92       (92 )
Unrealized (loss) income from pension plan, net of tax
    (14,969 )     (14,969 )           14,969       (14,969 )
Unrealized gain (loss) from cash flow hedge, net of tax
    519       519             (519 )     519  
Issuance of restricted stock, net of forfeitures
    7                         7  
Issuance of stock related to the rights offering, net of expenses
    58,521                         58,521  
Compensation related to share-based grants
    2,158                         2,158  
Impact of net settled shares for vested grants
    (194 )                       (194 )
                                         
Net transactions with the Parent
          56,805       (2,391 )     (54,414 )      
Balance, December 31, 2011
  $ 8,374     $ 83,626     $ (124,175 )   $ 40,549     $ 8,374  
Net (loss) income 
    (23,027 )     (37,237 )     18,536       18,701       (23,027 )
Foreign currency translation adjustment, net of tax
    103       103             (103 )     103  
Unrealized loss (income) from pension plan, net of tax
    (8,245 )     (8,245 )           8,245       (8,245 )
Issuance of restricted stock, net of forfeitures
    19       19             (19 )     19  
Compensation related to share-based grants
    2,730                         2,730  
Impact of net settled shares for vested grants
    (526 )                       (526 )
Other
    (20 )                       (20 )
                                         
Net transactions with the Parent
          2,337       (2,017 )     (320 )      
Balance, December 29, 2012
  $ (20,592 )   $ 40,603     $ (107,656 )   $ 67,053     $ (20,592 )
Net (loss) income 
    (40,618 )     (49,205 )     14,343       34,862       (40,618 )
Foreign currency translation adjustment, net of tax
    (161 )     (161 )           161       (161 )
Unrealized income (loss) from pension plan, net of tax
    13,910       13,910             (13,910 )     13,910  
Issuance of restricted stock, net of forfeitures
    6       6             (6 )     6  
Issuance of performance shares
    6       6             (6 )     6  
Issuance of stock related to the rights offering, net of expenses
    38,613                         38,613  
Compensation related to share-based grants
    6,117                         6,117  
Impact of net settled shares for vested grants
    (3,193 )                       (3,193 )
Excess tax benefits from share-based compensation arrangements
    16                         16  
Other
    (2 )                       (2 )
                                         
Net transactions with the Parent
          43,880       (3,461     (40,419 )      
                                         
Balance, January 4, 2014
  $ (5,898 )   $ 49,039     $ (96,774 )   $ 47,735     $ (5,898 )
XML 37 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Assets Held for Sale and Net Gain on Disposition (Detail Textuals) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Distribution_Center
Jan. 04, 2014
Office space and other location held for sale
Sep. 28, 2013
Office space and other location held for sale
Jan. 04, 2014
Distribution centers held for sale
Distribution_Center
Jan. 04, 2014
Other current assets
Dec. 29, 2012
Other current assets
Assets Held For Sale and Net Gain On Disposition [Line Items]            
Total assets held for sale current         $ 2.6 $ 1.6
Assets held for sale   0.6 3.3 1.9    
Number of distribution centers 50     1    
Recognized gain on sale of assets 5.0          
Capitalized brokerage commissions written off on sale of asset 0.5          
Additional gain realized related to sale of Fremont, CA property $ 0.2          
XML 38 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Details) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Cash in escrow:    
Restricted cash $ 11,681 $ 9,911
Mortgage
   
Cash in escrow:    
Restricted cash    40
Insurance
   
Cash in escrow:    
Restricted cash 7,921 7,906
Other
   
Cash in escrow:    
Restricted cash $ 3,760 $ 1,965
XML 39 R75.htm IDEA: XBRL DOCUMENT v2.4.0.8
Revolving Credit Facilities (Detail Textuals) (USD $)
In Millions, unless otherwise specified
1 Months Ended 1 Months Ended 12 Months Ended 12 Months Ended
Mar. 27, 2013
Jul. 22, 2011
Jan. 04, 2014
Jun. 28, 2013
U.S.
Revolving credit facility
PNC Bank National Association
Mar. 29, 2013
U.S.
Revolving credit facility
Wells Fargo Bank
Jan. 04, 2014
U.S.
Revolving credit facility
Wells Fargo Bank
Dec. 29, 2012
U.S.
Revolving credit facility
Wells Fargo Bank
Jan. 04, 2014
U.S.
Letters of credit
Wells Fargo Bank
Dec. 29, 2012
U.S.
Letters of credit
Wells Fargo Bank
Line of Credit Facility [Line Items]                  
U.S. revolving credit facility maximum available credit less the uncommitted accordion feature           $ 447.5      
Line of credit accordion credit           75      
Date of the final maturity of revolving credit facility           Apr. 15, 2016      
Additional loan commitment       25.0          
Debt fees       0.1 2.8        
Expenses related to right offering yet to be paid     0.1            
Net proceeds from rights offering 38.6 58.0              
Shares issued to stockholders on rights offering 22.9 28.6              
U.S. revolving credit facility maximum available credit           522.5      
Collateralized letter of credit securing insurance obligations               1.5  
Outstanding lines of credit           207.9 169.5    
Revolving credit facility excess availability           44.5 86.0    
Interest rate on revolving credit facility           3.70% 4.10%    
Outstanding letters of credit               3.6 4.5
Covenant description           As of January 4, 2014, our U.S. revolving credit facility, as amended, contains customary negative covenants and restrictions for asset based loans, including a requirement that we maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the "Excess Availability Threshold").      
Revolving credit facility fixed charge coverage ratio requirement           1.1 to 1.0      
Minimum amount of revolving credit facility excess availability threshold           31.8      
Percentage of revolving credit facility excess availability threshold           12.50%      
Lowest level of fiscal month-end availability revolving credit facility           $ 44.5      
XML 40 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Loss (Tables)
12 Months Ended
Jan. 04, 2014
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Schedule of changes in accumulated balances for each component of other comprehensive income (loss)

The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2013 were as follows (in thousands):
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  
Other comprehensive loss (income) before reclassification, net of tax
      (161 )                       (161 )  
Amounts reclassified from accumulated other comprehensive loss, net of tax
              13,910                 13,910    
Current-period other comprehensive (loss) income, net of tax 
      (161 )       13,910                 13,749    
Ending balance, net of tax
    $ 1,636       $ (18,141 )     $ 212       $ (16,293 )  
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2012 were as follows (in thousands):
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
Current-period other comprehensive income (loss) net of tax 
      103         (8,245 )               (8,142 )  
Ending balance, net of tax
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2011 were as follows (in thousands):
 
 
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,786       $ (8,837 )     $ (307 )     $ (7,358 )  
Current-period other comprehensive (loss) income, net of tax 
      (92 )       (14,969 )       519         (14,542 )  
Ending balance, net of tax
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
 
Schedule of reclassifications out of accumulated other comprehensive loss
 
 
 
 Details about accumulated other comprehensive 
loss components
  Amount reclassified from 
accumulated other 
comprehensive loss
 
Affected line item in the
statement where net
income is presented
Amortization of defined benefit pension items:
           
Actuarial gain
    $ 22,804    
Total before tax (1)
Tax impact 
      8,894    
Tax impact (2)
Total, net of tax
    $ 13,910    
Net of tax
 
(1) This accumulated other comprehensive loss component is included in the computation of net periodic pension cost. Refer to Note 8 of the Notes to Consolidated Financial Statements for the required disclosures.
 
(2) We allocated income tax expense to accumulated other comprehensive loss to the extent income was recorded in accumulated other comprehensive loss and we have a loss from continuing operations. Refer to Note 5 of the Notes to Consolidated Financial Statements for the required disclosures.
XML 41 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Income Taxes [Abstract]                      
Benefit from income taxes computed at the federal statutory tax rate                 $ (17,371) $ (7,924) $ (13,162)
Benefit from state income taxes, net of federal benefit                 (1,991) (866) (1,296)
Valuation allowance change                 19,445 8,820 14,498
Nondeductible items                 270 484 806
Benefit from allocation of income taxes to other comprehensive income (loss)                 (8,726)    
Other                 (640) (128) 116
(Benefit from) provision for income taxes $ (12,491) [1] $ (2,134) [2] $ (9,105) [3] $ (4,637) [4] $ (4,305) [5] $ 1,078 [6] $ (1,157) [7] $ (3,969) [8] $ (9,013) $ 386 $ 962
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 42 R67.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employee Benefits (Details 3)
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Projected benefit obligation:      
Discount rate 5.00% 4.24%  
Average rate of increase in future compensation levels   3.00%  
Net periodic pension cost      
Discount rate 4.24% 5.02% 5.02%
Average rate of increase in future compensation levels 3.00% 3.00%  
Expected long-term rate of return on plan assets 7.85% 7.85%  
Minimum
     
Projected benefit obligation:      
Average rate of increase in future compensation levels 2.50%    
Maximum
     
Projected benefit obligation:      
Average rate of increase in future compensation levels 5.50%    
XML 43 R61.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation (Details 1) (Stock options, USD $)
12 Months Ended
Jan. 04, 2014
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]  
Number of Options, Outstanding 784,500
Remaining Contractual Life (in Years), Outstanding Options 4 years 1 month 6 days
Number of Options, Exercisable 784,500
Remaining Contractual Life (in Years), Exercisable Options 4 years 1 month 6 days
Price Range $4.66
 
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]  
Number of Options, Outstanding 750,000
Exercise price $ 4.66
Weighted Average Exercise Price, Outstanding Options $ 4.66
Remaining Contractual Life (in Years), Outstanding Options 4 years 2 months 12 days
Number of Options, Exercisable 750,000
Weighted Average Exercise Price, Exercisable Options $ 4.66
Remaining Contractual Life (in Years), Exercisable Options 4 years 2 months 12 days
Price Range $11.40-$14.01
 
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]  
Number of Options, Outstanding 34,500
Price Range, Minimum $ 11.40
Price Range, Maximum $ 14.01
Weighted Average Exercise Price, Outstanding Options $ 13.25
Remaining Contractual Life (in Years), Outstanding Options 2 years 3 months 18 days
Number of Options, Exercisable 34,500
Weighted Average Exercise Price, Exercisable Options $ 13.25
Remaining Contractual Life (in Years), Exercisable Options 2 years 3 months 18 days
XML 44 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Detail Textuals 4) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Property, Plant and Equipment [Line Items]      
Depreciation expense $ 9.1 $ 8.4 $ 10.4
Carrying value of properties sold 3.9 7.4  
Long - lived assets, depreciation method straight-line method    
Selling, general and administrative expenses
     
Property, Plant and Equipment [Line Items]      
Total gains on properties sold $ 5.2 $ 9.9  
Minimum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 5 years    
Maximum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 40 years    
Land improvements | Minimum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 2 years    
Land improvements | Maximum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 18 years    
Buildings | Minimum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 5 years    
Buildings | Maximum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 40 years    
Machinery and equipment | Minimum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 3 years    
Machinery and equipment | Maximum
     
Property, Plant and Equipment [Line Items]      
Long - lived assets estimated useful life 7 years    
XML 45 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges
12 Months Ended
Jan. 04, 2014
Restructuring Charges [Abstract]  
Restructuring Charges
3. Restructuring Charges
 
We account for exit and disposal costs by recognizing a liability for costs associated with an exit or disposal activity at fair value in the period in which it is incurred or when the entity ceases using the right conveyed by a contract (i.e., the right to use a leased property).  We account for severance and outplacement costs by recognizing a liability for employees’ rights to post-employment benefits when management has committed to a plan, due to the existence of a post employment benefit agreement. These costs are included in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss for the fiscal years ended January 4, 2014, December 29, 2012, and December 31, 2011, and in “Accrued compensation” on the Consolidated Balance Sheets at January 4, 2014 and December 29, 2012.
 
2013 Facility Lease Obligation and Severance Costs
 
During the second quarter of fiscal 2013, we announced the 2013 restructuring which included the realignment of headquarters resources and the strategic review of our distribution centers.  This review resulted in the Company designating five distribution centers to be sold or closed.  These distribution centers were closed or ceased operations during the third quarter of fiscal 2013.  During the second quarter of fiscal 2013, we also announced that George R. Judd no longer would serve as President and Chief Executive Officer of the Company (the “change in executive leadership”).  In connection with the 2013 restructuring and the change in executive leadership the Company has recognized severance related charges of $5.6 million and $2.9 million of related share-based compensation charges in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013.  In addition, the Company has recognized facility lease obligation charges of $1.3 million for two closed facilities in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013.
 
The table below summarizes the balance of reduction in force activities and the related accrued facility lease obligation reserve and the changes in the accrual for fiscal 2013 (in thousands):
                         
   
Reduction in
Force
Activities
   
Facility Lease
Obligation
   
Total
 
Balance at December 29, 2012
  $     $     $  
Charges
    5,709       1,398       7,107  
Assumption changes
    (102 )     (77 )     (179 )
Payments
    (3,057 )     (402 )     (3,459 )
Accretion of Liability
          9       9  
Balance at January 4, 2014
  $ 2,550     $ 928     $ 3,478  
 
In addition to the charges described above, as a result of the 2013 restructuring we recorded approximately $1.4 million of other restructuring related charges, which were recorded in “Selling, general and administrative” expenses in the Consolidated Statement of Operations and Comprehensive Loss during fiscal 2013.
 
 

During the first quarter of fiscal 2013, we completed the transition of our Fremont, California operation to our new facility in Stockton, California.  We incurred approximately $0.8 million of transition costs related to this move which are recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss in the first nine months of fiscal 2013.

 
During the third quarter of fiscal 2011, we entered into an amendment to our corporate headquarters lease in Atlanta, Georgia related to the unoccupied 4100 building, which was exited during fiscal 2007. This amendment released us from our obligations with respect to this unoccupied space as of January 31, 2012, in exchange for a $5.0 million space remittance fee, which was paid in the first quarter of fiscal 2012. We also paid $0.9 million in the third quarter of fiscal 2012 and paid an additional $0.3 million in the first quarter of fiscal 2014 related to contractually obligated tenant improvement reimbursement expense. As of January 4, 2014 and December 29, 2012, there was a remaining balance of this accrued facility consolidation reserve of $0.3 million. The provisions relating to the occupied 4300 building remain unchanged. Under the existing provisions, the current term of the lease ends on January 31, 2019.
XML 46 R62.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation (Details 2) (USD $)
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Restricted Stock
     
Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Nonvested Number of Shares [Roll Forward]      
Outstanding 3,554,738 2,361,424 1,914,288 [1]
Granted 1,202,185 [2] 2,067,835 819,240
Vested (2,587,452) [2] (681,484) (364,303) [1]
Forfeited (551,188) [2] (193,037) (7,801)
Outstanding 1,618,283 [2] 3,554,738 2,361,424
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value [Roll Forward]      
Outstanding $ 1.22 $ 3.22 $ 2.67 [1]
Granted $ 3.15 [2] $ 1.52 $ 3.14
Vested $ 2.48 [2] $ 3.39 $ 6.16 [1]
Forfeited $ 2.28 [2] $ 2.76 $ 3.26
Outstanding $ 2.50 [2] $ 1.22 $ 3.22
Performance Shares
     
Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Nonvested Number of Shares [Roll Forward]      
Outstanding       240,835 [1]
Granted 2,969,424 [2]      
Vested (627,320) [2]    (240,835) [1]
Forfeited (149,236) [2]      
Outstanding 2,192,868 [2]      
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value [Roll Forward]      
Granted $ 2.95    
Vested $ 2.36    
Forfeited $ 3.13    
Outstanding $ 2.55    
Restricted Stock Units (RSUs)
     
Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Nonvested Number of Shares [Roll Forward]      
Outstanding    [3] 49,350 [3] 127,950 [1],[3]
Granted    [2],[3]    [3]    [3]
Vested    [2],[3] (48,250) [3] (63,200) [1],[3]
Forfeited    [2],[3] (1,100) [3] (15,400) [3]
Outstanding    [2],[3]    [3] 49,350 [3]
[1] During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date.
[2] The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55.
[3] The restricted stock units were settled in cash. The fair value of these awards was marked-to-market each reporting period through the date of settlement. During fiscal 2012 and fiscal 2011, certain restricted stock units vested and approximately $0.1 million and $0.2 million, respectively, was paid out to settle these awards.
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`@("`@(#PO M='(^#0H@("`@/"]T86)L93X-"B`@/"]B;V1Y/@T*/"]H=&UL/@T*#0HM+2TM M+2T]7TYE>'1087)T7SDU8S(W.&$W7S=C,S%?-#,P95\X93(T7V0W9&(X.61C M83 XML 48 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Detail Textuals) (USD $)
1 Months Ended 3 Months Ended 12 Months Ended 12 Months Ended
Mar. 27, 2013
Factor
Apr. 02, 2011
Jan. 04, 2014
Center
Dec. 29, 2012
Dec. 31, 2011
Jan. 01, 2011
Jan. 04, 2014
Mortgage
Sep. 19, 2012
Mortgage
Jan. 04, 2014
Cost of Sales
Jun. 29, 2013
Cost of Sales
Summary Of Significant Accounting Policies [Line Items]                    
Customer consigned inventory     $ 10,100,000 $ 10,300,000            
Restricted cash     11,681,000 9,911,000            
Payment of indebtedness under the mortgage               11,800,000    
Additional prepayment of indebtedness             10,000,000      
Restricted cash under mortgage, released quarterly             10,000,000      
Allowances for receivables (in dollars)     4,359,000 4,720,000            
Lower of cost or market charge related to declines in prices for our lumber, oriented strand board ("OSB") and plywood inventory                   3,800,000
Reduced inventory reserve                 300,000  
Turn days of items considered for inclusion in excess or obsolescence     270 days              
Inventory reserves related to sale or closure of distribution centers                   1,000,000
Damaged, excess and obsolete inventory reserves     1,798,000 1,126,000 1,492,000 1,670,000        
Number of distribution centers sold or closed     5              
Total vendor rebate receivable     7,600,000 9,000,000            
Total customer rebate payable     6,300,000 5,500,000            
Adjustment factor used to adjust weighted average shares for the bonus element in the rights offering 1.0894                  
Weighted average shares prior to 2013 right offering       60,079,528 43,187,315          
Weighted average shares after application of adjustment factor       65,451,808 47,049,102          
Total cash insurance proceeds received related to damaged facility at Newtown, CT   5,800,000                
Cash insurance proceeds received related to the damaged building   2,200,000                
Cash insurance proceeds received related to damaged and destroyed inventory   2,400,000                
Recovery of additional expenses incurred   1,200,000                
Gain included in Selling, general and administrative expenses   1,400,000                
Gain from insurance proceeds related to damaged building   1,200,000                
Gain related to recovery of gross margin on inventory   200,000                
Accumulated gain from foreign currency translation (net of tax)     $ 1,636,000 $ 1,797,000 $ 1,694,000 $ 1,786,000        

XML 49 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges (Tables)
12 Months Ended
Jan. 04, 2014
Restructuring Charges [Abstract]  
Schedule of summary of the balances of accrued facility lease obligation reserve and the changes in the accrual
   
Reduction in
Force
Activities
   
Facility Lease
Obligation
   
Total
 
Balance at December 29, 2012
  $     $     $  
Charges
    5,709       1,398       7,107  
Assumption changes
    (102 )     (77 )     (179 )
Payments
    (3,057 )     (402 )     (3,459 )
Accretion of Liability
          9       9  
Balance at January 4, 2014
  $ 2,550     $ 928     $ 3,478  
XML 50 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Tables)
12 Months Ended
Jan. 04, 2014
Summary Of Significant Accounting Policies [Abstract]  
Schedule of components of restricted cash
   
At January 4,
2014
   
At December 29,
2012
 
Cash in escrow:
           
Mortgage
  $     $ 40  
Insurance
    7,921       7,906  
Other
    3,760       1,965  
Total
  $ 11,681     $ 9,911  
XML 51 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Detail Textuals) (Canada, USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Canada
     
Income Tax [Line Items]      
Income before provision for income taxes for Canadian operations $ 0.1 $ 0.1 $ 0.9
XML 52 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Detail Textuals 1) (Selling, general and administrative expenses, USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Selling, general and administrative expenses
     
Summary Of Significant Accounting Policies [Line Items]      
Shipping and handling costs $ 99.7 $ 91.2 $ 87.9
Advertising costs $ 1.2 $ 1.1 $ 1.9
XML 53 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Tables)
12 Months Ended
Jan. 04, 2014
Income Taxes [Abstract]  
Schedule of (benefit from) provision for income taxes
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Federal income taxes:
                 
Current
  $ (492 )   $ 16     $ (89 )
Deferred
    (7,385 )            
State income taxes:
                       
Current
    192       334       759  
Deferred
    (1,343 )            
Foreign income taxes:
                       
Current
    19       56       317  
Deferred
    (4 )     (20 )     (25 )
(Benefit from) provision for income taxes
  $ (9,013 )   $ 386     $ 962  
Schedule of provision for (benefit from) income taxes is reconciled to the federal statutory
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Benefit from income taxes computed at the federal statutory tax rate
  $ (17,371 )   $ (7,924 )   $ (13,162 )
Benefit from state income taxes, net of federal benefit
    (1,991 )     (866 )     (1,296 )
Valuation allowance change
    19,445       8,820       14,498  
Nondeductible items
    270       484       806  
Benefit from allocation of income taxes to other comprehensive income (loss)
    (8,726 )            
 
                       
Other
    (640 )     (128 )     116  
(Benefit from) provision for income taxes
  $ (9,013 )   $  386     $ 962  
Schedule of net deferred income tax assets (liabilities)
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Deferred income tax assets:
           
Inventory reserves
  $ 2,832     $ 2,816  
Compensation-related accruals
    4,893       5,838  
Accruals and reserves
    1,030       92  
Accounts receivable
    1,291       1,327  
Restructuring costs
    488       118  
Pension
    8,245       16,936  
Benefit from NOL carryovers(1)
    70,169       52,088  
Other
    703       695  
Total gross deferred income tax assets
    89,651       79,910  
Less: Valuation allowances
    (88,279 )     (78,050 )
Total net deferred income tax assets
  $ 1,372     $ 1,860  
Deferred income tax liabilities:
               
Intangible assets
          (60 )
Property and equipment
    (365 )     (1,065 )
Other
    (1,006 )     (739 )
Total deferred income tax liabilities
    (1,371 )     (1,864 )
Deferred income tax assets (liabilities), net
  $ 1     $ (4 )
 
 
(1)
Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years.
 
Schedule of activity in deferred tax asset valuation allowance
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
 
Balance at beginning of the year
  $ 78,050     $ 66,793  
Valuation allowance removed for taxes related to:
               
Income before income taxes
           
Valuation allowance provided for taxes related to:
               
Loss before income taxes
    10,229       11,257  
Effect of a change in judgment
           
Balance at end of the year
  $ 88,279     $ 78,050  
Schedule of activity related to unrecognized tax benefits
   
(In thousands)
 
Balance at January 1, 2011
  $ 677  
Increases related to current year tax positions
     
Additions for tax positions in prior years
    196  
Reductions for tax positions in prior years
     
Settlements
     
Balance at December 31, 2011
    873  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statue of limitations
    (47 )
Settlements
     
Balance at December 29, 2012
    826  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statute of limitations
    (567 )
Settlements
     
Balance at January 4, 2014
  $ 259  
 
XML 54 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables (Tables)
12 Months Ended
Jan. 04, 2014
Receivables [Abstract]  
Schedule of activity in receivables related reserve accounts
   
Beginning
Balance
   
Expense/
(Income)
   
Write offs and
Other, Net
   
Ending
Balance
 
   
(In thousands)
 
Fiscal 2011
                       
Allowance for doubtful accounts and related reserves
  $ 5,715     $ 2,576     $ (3,156 )   $ 5,135  
Fiscal 2012
                               
Allowance for doubtful accounts and related reserves
  $ 5,135     $ 2,034     $ (2,449 )   $ 4,720  
Fiscal 2013
                               
Allowance for doubtful accounts and related reserves
  $ 4,720     $ 1,581     $ (1,942 )   $ 4,359  
XML 55 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies
12 Months Ended
Jan. 04, 2014
Summary Of Significant Accounting Policies [Abstract]  
Summary of Significant Accounting Policies
2. Summary of Significant Accounting Policies
 
Revenue Recognition
 
We recognize revenue when the following criteria are met: persuasive evidence of an agreement exists, delivery has occurred or services have been rendered, our price to the buyer is fixed and determinable and collectability is reasonably assured. Delivery is not considered to have occurred until the customer takes title and assumes the risks and rewards of ownership. The timing of revenue recognition is largely dependent on shipping terms. For sales transactions designated as FOB (free on board) shipping point, revenue is recorded at the time of shipment.  For sales transactions designated FOB destination, revenue is recorded when the product is delivered to the customer’s delivery site.
 
All revenues are recorded gross. The key indicators used to determine when and how revenue is recorded are as follows:
 
 
We are the primary obligor responsible for fulfillment and all other aspects of the customer relationship.
 
Title passes from BlueLinx, and we carry all risk of loss related to warehouse and third-party (“reload”) inventory and inventory shipped directly from vendors to our customers.
 
We are responsible for all product returns.
 
We control the selling price for all channels.
 
We select the supplier.
 
We bear all credit risk.
 
In addition, we provide inventory to certain customers through pre-arranged agreements on a consignment basis. Customer consigned inventory is maintained and stored by certain customers; however, ownership and risk of loss remains with us. When the inventory is sold by the customer, we recognize revenue on a gross basis. Customer consigned inventory at January 4, 2014, and December 29, 2012 was approximately $10.1 million and $10.3 million, respectively.
 
All revenues are recorded after trade allowances, cash discounts and sales returns are deducted. Cash discounts and sales returns are estimated using historical experience. Trade allowances are based on the estimated obligations and historical experience.
 
Cash and Cash Equivalents
 
Cash and cash equivalents include all highly-liquid investments with maturity dates of less than three months when purchased.
 
Restricted Cash
 
We had restricted cash of $11.7 million and $9.9 million at January 4, 2014, and December 29, 2012, respectively. Restricted cash primarily includes amounts held in escrow related to our mortgage and insurance for workers’ compensation, auto liability, and general liability. Restricted cash is included in “Other current assets” and “Other non-current assets” on the accompanying Consolidated Balance Sheets.
 
The table below provides the balances of each individual component in restricted cash as of January 4, 2014, and December 29, 2012 (in thousands):
                 
   
At January 4,
2014
   
At December 29,
2012
 
Cash in escrow:
           
Mortgage
  $     $ 40  
Insurance
    7,921       7,906  
Other
    3,760       1,965  
Total
  $ 11,681     $ 9,911  
 
During fiscal 2013, 2012 and 2011, changes in restricted cash required under our mortgage were classified in the financing section of our Consolidated Statement of Cash Flows.  On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement.  In addition, on a quarterly basis, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement were used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million.  Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, is released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014. All funds released pursuant to these provisions may be used by the Company to pay for usual and customary operating expenses. During the period described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement.
 
Concentrations of Credit Risk
 
Our receivables are principally from customers in the building products industry located in the United States and Canada.  We believe concentration of credit risk with respect to receivables is limited due to the large number of customers comprising our customer base. None of our customers individually constitute more than 10% of fiscal 2013 sales.
 
Allowance for Doubtful Accounts and Related Reserves
 
We evaluate the collectability of receivables based on numerous factors, including past transaction history with customers and their creditworthiness. We maintain an allowance for doubtful accounts for each aging category on our aged trial balance, which is aged utilizing contractual terms, based on our historical loss experience. This estimate is periodically adjusted when we become aware of specific customers’ inability to meet their financial obligations (e.g., bankruptcy filing or other evidence of liquidity problems). As we determine that specific balances ultimately will be uncollectible, we remove them from our aged trial balance. Additionally, we maintain reserves for cash discounts that we expect customers to earn as well as expected returns. At January 4, 2014, and December 29, 2012, these reserves totaled $4.4 million and $4.7 million, respectively.
 
Inventory Valuation
 
Inventories are carried at the lower of cost or market. The cost of all inventories is determined by the moving average cost method. We have included all material charges directly or indirectly incurred in bringing inventory to its existing condition and location. We evaluate our inventory value at the end of each quarter to ensure that first quality, actively moving inventory, when viewed by category, is carried at the lower of cost or market. During the second quarter of fiscal 2013, we recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss a lower of cost or market charge of $3.8 million related to declines in prices for our lumber, oriented strand board (“OSB”) and plywood inventory.  As we sold through inventory impacted by this reserve during the third quarter of fiscal 2013 and prices of lumber, OSB and plywood stabilized, the reserve was reduced to zero as of January 4, 2014.  
 
Additionally, we maintain a reserve for the estimated value impairment associated with damaged, excess and obsolete inventory. The damaged, excess and obsolete reserve generally includes discontinued items or inventory that has turn days in excess of 270 days, excluding new items during their product launch. At January 4, 2014, and December 29, 2012, our damaged, excess and obsolete inventory reserves were $1.8 million and $1.1 million, respectively.  During the second quarter of fiscal 2013, approximately $1.0 million was recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss for damaged, excess and obsolete inventory related to the closure of five distribution centers.  There was $0.3 million of this reserve remaining as of January 4, 2014, related to this inventory.  We discuss the closure or ceasing of operations of these distribution centers, which is included in our 2013 restructuring plan (the “2013 restructuring”), further in “Note 3 – Restructuring Charges”.
 
Consignment Inventory
 
We enter into consignment inventory agreements with vendors. This vendor consignment inventory relationship allows us to obtain and store vendor inventory at our warehouses and third-party (“reload”) facilities; however, ownership and risk of loss generally remains with the vendor. When the inventory is sold, we are required to pay the vendor, and we simultaneously take and transfer ownership from the vendor to the customer.
 
Consideration Received from Vendors and Paid to Customers
 
Each year, we enter into agreements with many of our vendors providing for inventory purchase rebates, generally based on achievement of specified volume purchasing levels. We also receive rebates related to price protection and various marketing allowances that are common industry practice. We accrue for the receipt of vendor rebates based on purchases, and also reduce inventory to reflect the net acquisition cost (purchase price less expected purchase rebates). At January 4, 2014, and December 29, 2012, the vendor rebate receivable totaled $7.6 million and $9.0 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
In addition, we enter into agreements with many of our customers to offer customer rebates, generally based on achievement of specified volume sales levels and various marketing allowances that are common industry practice. We accrue for the payment of customer rebates based on sales to the customer, and also reduce sales to reflect the net sales (sales price less expected customer rebates). At January 4, 2014, and December 29, 2012, the customer rebate payable totaled $6.3 million and $5.5 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
Shipping and Handling
 
Amounts billed to customers in sales transactions related to shipping and handling are classified as revenue. Shipping and handling costs included in “Selling, general, and administrative” expenses were $99.7 million, $91.2 million, and $87.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
Advertising Costs
 
Advertising costs are expensed as incurred. Advertising expenses of $1.2 million, $1.1 million, and $1.9 million were included in “Selling, general and administrative” expenses for fiscal 2013, fiscal 2012 and fiscal 2011, respectively.
 
Loss per Common Share
 
We calculate our basic loss per share by dividing net loss by the weighted average number of common shares and participating securities outstanding for the period. Restricted stock granted by us to certain management employees and non-employee directors participate in dividends on the same basis as common shares and are non-forfeitable by the holder. The unvested restricted stock contains non-forfeitable rights to dividends or dividend equivalents. As a result, these share-based awards meet the definition of a participating security and are included in the weighted average number of common shares outstanding, pursuant to the two-class method, for the periods that present net income. The two-class method is an earnings allocation formula that treats a participating security as having rights to earnings that would otherwise have been available to common stockholders.
 
Given that the restricted stockholders do not have a contractual obligation to participate in the losses and the inclusion of such unvested restricted shares in our basic and dilutive per share calculations would be anti-dilutive, we have not included these amounts in our weighted average number of common shares outstanding for periods in which we report a net loss. Therefore, we have not included 1,618,283, 3,554,738 and 2,361,424 of unvested restricted shares that had the right to participate in dividends in our basic and dilutive calculations for fiscal 2013, fiscal 2012, and fiscal 2011, respectively, because all periods reflected net losses.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. During fiscal 2013, we granted 2,969,424 performance shares under our 2006 Long-Term Equity Incentive Plan (the “2006 Plan”) in which shares are issuable upon satisfaction of certain performance criteria. As of January 4, 2014, we assumed that 2,192,868 of these performance shares will vest, net of forfeitures and vestings to date, based on our assumption that meeting the performance criteria is probable. The performance shares are not considered participating shares under the two-class method because they do not receive any non-transferable rights to dividends.  The 2,192,868 performance shares we assume will vest were not included in the computation of diluted earnings per share calculation because they were antidilutive.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. As we experienced losses in all periods, basic and diluted loss per share are computed by dividing net loss by the weighted average number of common shares outstanding for the period. For fiscal 2013, fiscal 2012, and fiscal 2011, we excluded 4,595,650, 4,460,054 and  3,266,740 unvested share-based awards, respectively, from the diluted earnings per share calculation because they were anti-dilutive. The unvested share-based awards total excludes the assumed exercise of unexpired stock options.
 
On March 27, 2013, we completed a rights offering of common stock to our stockholders (the “2013 Rights Offering”) at a subscription price that was lower than the market price of our common stock. The 2013 Rights Offering was deemed to contain a bonus element that is similar to a stock dividend, requiring us to adjust the weighted average number of common shares used to calculate basic and diluted earnings per share in prior periods retrospectively by a factor of 1.0894. Weighted average shares for fiscal 2012 prior to giving effect to the 2013 Rights Offering were 60,079,528 and 65,451,808 after application of the adjustment factor above. Weighted average shares for fiscal 2011 prior to giving effect to the 2013 Rights Offering were 43,187,315 and 47,049,102 after application of the adjustment factor above.
 
Common Stock Dividends
 
On December 5, 2007, our Board of Directors suspended the payment of dividends on our common stock for an indefinite period of time. Resumption of the payment of dividends will depend on, among other things, business conditions in the housing industry, our results of operations, cash requirements, financial condition, contractual restrictions, provisions of applicable law and other factors that our Board of Directors may deem relevant. Accordingly, we may not be able to resume the payment of dividends at the same quarterly rate in the future, if at all.
 
Property and Equipment
 
Property and equipment are recorded at cost. Lease obligations for which we assume or retain substantially all the property rights and risks of ownership are capitalized. Replacements of major units of property are capitalized and the replaced properties are retired. Replacements of minor components of property and repair and maintenance costs are charged to expense as incurred.
 
Depreciation is computed using the straight-line method over the estimated useful lives of the related assets. Useful lives are 2 to 18 years for land improvements, 5 to 40 years for buildings, and 3 to 7 years for machinery and equipment, which includes mobile equipment. Upon retirement or disposition of assets, cost and accumulated depreciation are removed from the related accounts and any gain or loss is included in income. Depreciation expense totaled $9.1 million for fiscal 2013, $8.4 million for fiscal 2012 and $10.4 million for fiscal 2011.
 
During fiscal 2013, we sold certain properties with carrying values of $3.9 million, which resulted in gains totaling $5.2 million.  During fiscal 2012, we sold certain properties with carrying values of $7.4 million, which resulted in gains totaling $9.9 million.  These gains are recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.  All of these properties in fiscal 2013 and fiscal 2012 were classified as held for sale.  See Note 4 for discussion of the held for sale properties sold during the year.
 
Impairment of Long-Lived Assets
 
Long-lived assets, including property and equipment and intangible assets with definite useful lives, are reviewed for possible impairment whenever events or circumstances indicate that the carrying amount of an asset may not be recoverable.
 
We consider whether there were indicators of potential impairment on a quarterly basis. Indicators of impairment include current period losses combined with a history of losses, management’s decision to exit a facility, reductions in the fair market value of real properties and changes in other circumstances that indicate the carrying amount of an asset may not be recoverable.
 
Our evaluation of long-lived assets is performed at the lowest level of identifiable cash flows, which is generally the individual distribution facility. In the event of indicators of impairment, the assets of the distribution facility are evaluated by comparing the facility’s undiscounted cash flows over the estimated useful life of the asset, which ranges between 5-40 years, to its carrying value. If the carrying value is greater than the undiscounted cash flows, an impairment loss is recognized for the difference between the carrying value of the asset and the estimated fair market value. Impairment losses are recorded as a component of “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.
 
Our estimate of undiscounted cash flows is subject to assumptions that affect estimated operating income at a distribution facility level. These assumptions are related to future sales, margin growth rates, economic conditions, market competition and inflation. In the event that undiscounted cash flows do not exceed the carrying value of a facility, our estimates of fair market value are generally based on market appraisals and our experience with related market transactions. We use a two year average of cash flows based on 2013 EBITDA and 2014 projected EBITDA, which includes a growth factor assumption, to estimate undiscounted cash flows. These assumptions used to determine impairment are considered to be level 3 measurements in the fair value hierarchy as defined in Note 13.
 
While operating results have declined during the past several years as they are closely tied to U.S. housing starts, during fiscal 2012 we began to see signs of a housing recovery, and our results have improved; however, our sales are still below normal levels.  To the extent that reductions in volume and operating income have resulted in impairment indicators, in all cases our carrying values continue to be less than our projected undiscounted cash flows. As such, we have not identified significant known trends impacting the fair value of long-lived assets to an extent that would indicate impairment.
 
During the first quarter of fiscal 2011 our Newtown, CT facility was damaged due to severe winter weather. As a result of the damage to the facility and its contents we received approximately $5.8 million in proceeds from the insurance company comprised of $2.2 million related to the damaged building, $2.4 million related to damaged and destroyed inventory and $1.2 million related to the recovery of additional expenses incurred as a result of the damage. Cash received related to the damaged building was classified as an investing cash inflow in our Consolidated Statements of Cash Flows and used to reduce the principal of our mortgage. All other cash inflows related to the insurance settlement were classified as operating cash flows in our Consolidated Statements of Cash Flows. The majority of the remaining cash inflows were used to fund costs incurred related to the Newtown loss. We recognized a $1.4 million gain in fiscal 2011 of which $1.2 million related to the damaged building and $0.2 million related to the recovery of gross margin on the inventory. We recorded the gain at the time that the recovery of the minimum expected proceeds under our insurance policy became probable and was estimable. This gain was recorded in “Selling, general and administrative expenses” in our Consolidated Statements of Operations and Comprehensive Loss.
 
Share-Based Compensation
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent market and performance conditions are considered probable. The calculation of fair value related to share-based compensation is subject to certain assumptions discussed in more detail in Note 7. Management updates such estimates when circumstances warrant. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.
 
Income Taxes
 
Deferred income taxes are provided using the liability method. Accordingly, deferred income taxes are recognized for differences between the income tax and financial reporting bases of our assets and liabilities based on enacted tax laws and tax rates applicable to the periods in which the differences are expected to affect taxable income.  We recognize a valuation allowance, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized.  In evaluating our ability to recover our deferred income tax assets, we considered available positive and negative evidence, including our past operating results, our ability to carryback losses against prior taxable income, the existence of cumulative losses in the most recent years, our forecast of future taxable income and an excess of appreciated assets over the tax basis of our net assets. In estimating future taxable income, we developed assumptions including the amount of future state and federal pretax operating and non-operating income, the reversal of temporary differences and the implementation of feasible and prudent tax planning strategies.  These assumptions required significant judgment about the forecasts of future taxable income.  When we considered all of the available positive and negative evidence, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized. Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements.
 
If the realization of deferred tax assets in the future is considered more likely than not, a reduction to the valuation allowance related to the deferred tax assets would increase net income in the period such determination is made. The amount of the deferred tax asset considered realizable is based on significant estimates, and it is possible that changes in these estimates could materially affect the financial condition and results of operations.  Our effective tax rate may vary from period to period based on changes in estimated taxable income or loss; changes to the valuation allowance; changes to federal or state tax laws; and as a result of acquisitions.
 
We generally believe that the positions taken on previously filed tax returns are more likely than not to be sustained by the taxing authorities.  We have recorded income tax and related interest liabilities where we believe our position may not be sustained.  Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements.
 
Foreign Currency Translation
 
The functional currency for our Canadian operations is the Canadian dollar. The translation of the applicable currencies into U.S. dollars is performed for balance sheet accounts using current exchange rates in effect at the balance sheet date and for revenue and expense accounts using a weighted average exchange rate during the period. Any related translation adjustments are recorded directly in stockholders’ equity. Foreign currency transaction gains and losses are reflected in the Consolidated Statements of Operations and Comprehensive Loss. Accumulated other comprehensive loss at January 4, 2014, and December 29, 2012 included the accumulated gain from foreign currency translation (net of tax) of $1.6 million and $1.8 million, respectively.
 
Compensated Absences
 
We accrue for the costs of compensated absences to the extent that the employee’s right to receive payment relates to service already rendered, the obligation vests or accumulates, payment is probable and the amount can be reasonably estimated.
 
Use of Estimates
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make certain estimates and assumptions. These estimates and assumptions affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements, as well as reported amounts of revenues and expenses during the reporting period. Actual results could differ from these estimates and such differences could be material.
 
Reclassifications
 
During fiscal 2012, we classified certain amounts, which had historically been presented as “Property, plant and equipment investments” in the “Cash flows from investing activities” section of the Consolidated Statements of Cash Flows to “Other” changes in the “Cash flows from operating activities” section of the Consolidated Statements of Cash Flows. To conform the historical presentation to the current and future presentation, we reclassified similar items in prior periods from “Net cash (used in) provided by investing activities” to “Net cash used in operating activities” in our Consolidated Statements of Cash Flows. The presentation of these same items during fiscal 2013 is consistent with the adjusted presentation in fiscal 2012 and will be going forward.
 
New Accounting Standards
 
In the first quarter of fiscal 2013, the Financial Accounting Standards Board (the “FASB”) issued an amendment to previously issued guidance which requires companies to report, in one place, information about reclassifications out of accumulated other comprehensive income (“AOCI”). The update also requires companies to present reclassifications by component when reporting changes in AOCI balances. For significant items reclassified out of AOCI to net income in their entirety in the period, companies must report the effect of the reclassifications on the respective line items in the statement where net income is presented. In certain circumstances, this can be done on the face of that statement. Otherwise, it must be presented in the notes. For items not reclassified to net income in their entirety in the period, companies must cross-reference in a note to other required disclosures. The amendments are effective for public companies in fiscal years, and interim periods within those years, beginning after December 15, 2012. We adopted this guidance during the first quarter of fiscal 2013; refer to “Note 17 – Accumulated Other Comprehensive Loss” for the required disclosures.
 
There were no other accounting pronouncements adopted during fiscal 2013 that had a material impact on our financial statements.
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Stock-Based Compensation (Tables)
12 Months Ended
Jan. 04, 2014
Stock-Based Compensation [Abstract]  
Schedule of outstanding employee stock options
 
   
Shares
   
Weighted
Average
Exercise
Price
 
Options outstanding at January 1, 2011
    924,815     $ 6.31  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (19,499 )     12.53  
Options outstanding at December 31, 2011
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
           
Options outstanding at December 29, 2012
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (120,816 )     13.58  
Options outstanding at January 4, 2014
    784,500       5.05  
Options exercisable at January 4, 2014
    784,500     $ 5.05  
Schedule of share-based compensation, shares authorized under stock option plans, by exercise price range
 
   
Outstanding
   
Exercisable  
 
 
 
 
Price Range
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
 
$4.66
    750,000     $ 4.66       4.2       750,000     $ 4.66       4.2  
$11.40-$14.01
    34,500     $ 13.25       2.3       34,500     $ 13.25       2.3  
      784,500               4.1       784,500               4.1  
 
Schedule of activity for performance shares, restricted stock awards and restricted stock unit awards
 
   
Restricted Stock
   
Performance
Shares
   
Restricted
Stock Units
 
         
Weighted
             
   
Number of
   
Average Fair
   
Number of
   
Number of
 
   
Awards
   
Value
   
Awards
   
Awards (1)
 
Outstanding at January 1, 2011(2)
    1,914,288       2.67       240,835       127,950  
Granted
    819,240       3.14              
Vested(2)
    (364,303 )     6.16       (240,835 )     (63,200 )
Forfeited
    (7,801 )     3.26             (15,400 )
Outstanding at December 31, 2011
    2,361,424       3.22             49,350  
Granted
    2,067,835       1.52              
Vested
    (681,484 )     3.39             (48,250 )
Forfeited
    (193,037 )     2.76             (1,100 )
Outstanding at December 29, 2012
    3,554,738        1.22              
Granted(3)
    1,202,185       3.15       2,969,424        
Vested(3)
    (2,587,452 )     2.48       (627,320 )      
Forfeited(3)
    (551,188 )     2.28       (149,236 )      
Outstanding at January 4, 2014(3)
    1,618,283     $  2.50       2,192,868        
 
 
(1)
The restricted stock units were settled in cash. The fair value of these awards was marked-to-market each reporting period through the date of settlement.  During fiscal 2012 and fiscal 2011, certain restricted stock units vested and approximately $0.1 million and $0.2 million, respectively, was paid out to settle these awards.
 
 
(2)
During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date.
 
 
(3)
The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested, and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55.
 
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Commitments and Contingencies (Detail Textuals) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Commitments and Contingencies [Abstract]    
Workers' compensation liability risk $ 0.8  
Auto liability risk 2.0  
Limit for other insurable risks, physical loss to property, excluding natural catastrophes (in dollars per occurrence) 0.1  
Limits for other insurable risks, directors and officers (in dollars per occurrence) 0.8  
Limits for other insurable risks, medical benefit plans (in dollars per occurrence) 0.3  
Self insurance reserves 6.9 7.2
Expense incurred related to workers compensation, auto, general liability and health and welfare reserves 11.7 10.7
Payments related to workers compensation, auto, general liability and health and welfare reserves $ 12.0 $ 11.1
XML 58 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation and Background (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Product Information [Line Items]      
Unallocated allowances and adjustments $ (16) $ (12) $ (18)
Total sales 2,152 1,908 1,755
Structural products
     
Product Information [Line Items]      
Sales revenue gross 968 806 705
Specialty products
     
Product Information [Line Items]      
Sales revenue gross $ 1,200 $ 1,114 $ 1,068
XML 59 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details 2) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Deferred income tax assets:      
Inventory reserves $ 2,832 $ 2,816  
Compensation-related accruals 4,893 5,838  
Accruals and reserves 1,030 92  
Accounts receivable 1,291 1,327  
Restructuring costs 488 118  
Pension 8,245 16,936  
Benefit from NOL carryovers 70,169 [1] 52,088 [1]  
Other 703 695  
Total gross deferred income tax assets 89,651 79,910  
Less: Valuation allowances (88,279) (78,050) (66,793)
Total net deferred income tax assets 1,372 1,860  
Deferred income tax liabilities:      
Intangible assets    (60)  
Property and equipment (365) (1,065)  
Other (1,006) (739)  
Total deferred income tax liabilities (1,371) (1,864)  
Deferred income tax assets (liabilities), net $ 1 $ (4)  
[1] Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years.
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Employee Benefits (Detail Textuals 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended 3 Months Ended 12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Jun. 29, 2013
Hourly Pension Plan
Jan. 04, 2014
Hourly Pension Plan
Payment
Defined Benefit Plan Disclosure [Line Items]        
Total defined benefit employer minimum required contribution $ 6.0 $ 3.2    
Minimum required contribution for plan year, per quarter cash contributions during fiscal - 2014 1.5      
Deferred and amortized period for defined benefit plan contribution   5 years    
Number of minimum quarterly cash contributions during fiscal 2013       3
Independent appraisals cost of land and buildings located in Charleston, S.C. and Buffalo, N.Y.     6.8  
Lease back period for real property     20 years  
Lease back period extension options for real property     5 years  
Additional pension contribution, if waiver is not granted 2.2      
Rent payments on monthly basis contributions in hourly pension plan       $ 0.5
XML 61 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Current assets:    
Cash and cash equivalents $ 5,034 $ 5,188
Receivables, less allowances of $4,359 in fiscal 2013 and $4,720 in fiscal 2012 150,297 157,465
Inventories, net 223,580 230,059
Other current assets 22,814 19,427
Total current assets 401,725 412,139
Property and equipment:    
Land and improvements 41,176 43,120
Buildings 90,082 94,070
Machinery and equipment 73,004 78,674
Construction in progress 3,028 1,173
Property and equipment, at cost 207,290 217,037
Accumulated depreciation (96,171) (101,684)
Property and equipment, net 111,119 115,353
Non-current deferred income tax assets, net 824 445
Other non-current assets 16,578 16,799
Total assets 530,246 544,736
Current liabilities:    
Accounts payable 60,363 77,850
Bank overdrafts 19,377 35,384
Accrued compensation 4,173 6,170
Current maturities of long-term debt 9,141 8,946
Deferred income taxes, net 823 449
Other current liabilities 12,949 10,937
Total current liabilities 106,826 139,736
Non-current liabilities:    
Long-term debt 388,995 368,446
Other non-current liabilities 40,323 57,146
Total liabilities 536,144 565,328
STOCKHOLDERS' DEFICIT    
Common Stock, $0.01 par value, 200,000,000 and 100,000,000 shares authorized at January 4, 2014 and December 29, 2012, respectively; 86,545,000 and 63,664,115 shares issued and outstanding at January 4, 2014 and December 29, 2012, respectively 866 637
Additional paid-in-capital 251,150 209,815
Accumulated other comprehensive loss (16,293) (30,042)
Accumulated deficit (241,621) (201,002)
Total stockholders' deficit (5,898) (20,592)
Total liabilities and stockholders' deficit $ 530,246 $ 544,736
XML 62 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Detail Textuals 2)
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Unvested Restricted Stock
Dec. 29, 2012
Unvested Restricted Stock
Dec. 31, 2011
Unvested Restricted Stock
Jan. 04, 2014
Unvested Share-based Awards
Dec. 29, 2012
Unvested Share-based Awards
Dec. 31, 2011
Unvested Share-based Awards
Jan. 04, 2014
Performance Shares
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                            
Anti-dilutive shares excluded from earnings per share calculation 4,595,650 5,136,430 5,203,076 5,512,899 4,460,054 4,515,590 4,519,590 1,618,283 3,554,738 2,361,424 4,595,650 4,460,054 3,266,740 2,192,868
XML 63 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (DEFICIT) (USD $)
In Thousands, unless otherwise specified
Common Stock
Additional Paid-In-Capital
Accumulated Other Comprehensive Income (Loss)
Accumulated Deficit
Total
Balance at Jan. 01, 2011 $ 327 $ 147,427 $ (7,358) $ (139,405) $ 991
Balance (in shares) at Jan. 01, 2011 32,668        
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net loss       (38,567) (38,567)
Foreign currency translation adjustment, net of tax     (92)   (92)
Unrealized gain (loss) from pension plan, net of tax     (14,969)   (14,969)
Unrealized gain from cash flow hedge, net of tax     519   519
Issuance of restricted stock, net of forfeitures 7       7
Issuance of restricted stock, net of forfeitures (in shares) 774        
Issuance of stock related to the rights offerings, net of expenses 286 58,235     58,521
Issuance of stock related to rights offerings, net of expenses (in shares) 28,571        
Compensation related to share-based grants   2,158     2,158
Impact of net settled shares for vested grants   (194)     (194)
Balance at Dec. 31, 2011 620 207,626 (21,900) (177,972) 8,374
Balance (in shares) at Dec. 31, 2011 62,013        
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net loss       (23,027) (23,027)
Foreign currency translation adjustment, net of tax     103   103
Unrealized gain (loss) from pension plan, net of tax     (8,245)   (8,245)
Issuance of restricted stock, net of forfeitures 19       19
Issuance of restricted stock, net of forfeitures (in shares) 1,875        
Compensation related to share-based grants   2,730     2,730
Impact of net settled shares for vested grants (2) (524)     (526)
Impact of net settled shares for vested grants (in shares) (224)        
Other   (17)   (3) (20)
Balance at Dec. 29, 2012 637 209,815 (30,042) (201,002) (20,592)
Balance (in shares) at Dec. 29, 2012 63,664        
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net loss       (40,618) (40,618)
Foreign currency translation adjustment, net of tax     (161)   (161)
Unrealized gain (loss) from pension plan, net of tax     13,910   13,910
Issuance of restricted stock, net of forfeitures 6       6
Issuance of restricted stock, net of forfeitures (in shares) 651        
Issuance of performance shares 6       6
Issuance of performance shares (in shares) 628        
Issuance of stock related to the rights offerings, net of expenses 229 38,384     38,613
Issuance of stock related to rights offerings, net of expenses (in shares) 22,857        
Compensation related to share-based grants   6,117     6,117
Impact of net settled shares for vested grants (12) (3,181)     (3,193)
Impact of net settled shares for vested grants (in shares) (1,255)        
Excess tax benefits from share-based compensation arrangements   16     16
Other   (1)   (1) (2)
Balance at Jan. 04, 2014 $ 866 $ 251,150 $ (16,293) $ (241,621) $ (5,898)
Balance (in shares) at Jan. 04, 2014 86,545        
XML 64 R59.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables (Details) (Allowance for doubtful accounts and related reserves, USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Allowance for doubtful accounts and related reserves
     
Movement in Valuation Allowances and Reserves [Roll Forward]      
Beginning Balance $ 4,720 $ 5,135 $ 5,715
Expense/(Income) 1,581 2,034 2,576
Write offs and Other, Net (1,942) (2,449) (3,156)
Ending Balance $ 4,359 $ 4,720 $ 5,135
XML 65 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Mortgage (Tables)
12 Months Ended
Jan. 04, 2014
Mortgage Disclosure [Abstract]  
Schedule of mortgage outstanding principal balance
 
2014
  $ 2,761  
2015
    2,744  
2016
    181,438  
2017
     
2018
     
Thereafter
     
Total
  $ 186,943  
XML 66 R65.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employee Benefits (Details 1) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Employee Benefits [Abstract]    
Unfunded status $ (27,885) $ (46,570)
Unrecognized prior service cost 1 2
Unrecognized actuarial loss 14,656 37,459
Net amount recognized (13,228) (9,109)
Amounts recognized on the balance sheet consist of:    
Accrued pension liability (27,885) (46,570)
Accumulated other comprehensive loss (pre-tax) 14,657 37,461
Net amount recognized $ (13,228) $ (9,109)
XML 67 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Events
12 Months Ended
Jan. 04, 2014
Subsequent Events [Abstract]  
Subsequent Events
16.  Subsequent Events
 
We are not aware of any additional significant events that occurred subsequent to the balance sheet date but prior to the filing of this report that would have a material impact on our Consolidated Financial Statements.
XML 68 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Tables)
12 Months Ended
Jan. 04, 2014
Commitments and Contingencies [Abstract]  
Schedule of total commitments under long-term, non-cancelable operating leases
 
2014
  $ 4,391  
2015
    3,968  
2016
    4,036  
2017
    4,060  
2018
    3,498  
Thereafter
    10,060  
Total
  $ 30,013  
Schedule of commitments under long-term, non-cancelable capital leases
 
   
Principal
   
Interest
 
             
2014
  $ 1,753     $ 509  
2015
    1,847       399  
2016
    1,746       273  
2017
    1,342       186  
2018
    1,406       95  
Thereafter
    604       20  
Total
  $ 8,698     $ 1,482  
XML 69 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Unaudited Selected Quarterly Financial Data
12 Months Ended
Jan. 04, 2014
Selected Quarterly Financial Information [Abstract]  
Unaudited Selected Quarterly Financial Data
18. Unaudited Selected Quarterly Financial Data
 
Fiscal 2013 contained 53 weeks.  Fiscal 2012 and fiscal 2011 each contained 52 weeks.  Our fiscal quarters are based on a 5-4-4 week period, with the exception of the fourth fiscal quarter of fiscal years containing 53 weeks, which are based on a 5-4-5 week period.
                                                                 
    First Quarter     Second Quarter     Third Quarter     Fourth Quarter  
    Three Months     Three Months     Three Months     Three Months    
Three Months
   
Three Months
   
Three Months
   
Three Months
 
    Ended     Ended     Ended     Ended    
Ended
   
Ended
   
Ended
   
Ended
 
    March 30,     March 31,     June 29,     June 30,    
September 28,
   
September 29,
   
January 4,
   
December 29,
 
    2013(a)     2012(b)     2013(c)     2012(d)    
2013(e)
   
2012(f)
     2014(g)    
2012(h)
 
     
(In thousands, except per share amounts)
 
Net sales
  $ 503,153     $ 453,708     $ 604,592     $ 517,026     $ 557,952     $ 496,810     $ 486,275     $ 440,298  
Gross profit
    56,458       54,232       55,185       63,188       62,492       60,531       54,348       52,119  
Operating expenses:
                                                               
Selling, general and administrative
    58,760       56,644       61,201       57,564       58,176       57,307       55,627       54,842  
Gain from property insurance settlement
                      (476 )                        
(Gain) loss from sale of properties
    (230 )     (578 )           48       (3,679 )     (9,151 )     (1,311 )     (204 )
Restructuring and other charges
    889             7,309             2,758             1,167        
                                                                 
Depreciation and amortization
    2,173       2,260       2,229       2,187       2,144       2,106       2,571       2,012  
Operating (loss) income
    (5,134 )     (4,094 )     (15,554 )     3,865       3,093       10,269       (3,706 )     (4,531 )
Non-operating expenses:
                                                               
Interest expense
    7,192       6,782       6,916       7,325       6,918       7,294       6,998       6,756  
Other expense (income)
    110       (62 )     128       49       17       (16 )     50       22  
(Benefit from) provision for income taxes
    (4,637 )     (3,969 )     (9,105 )     (1,157 )     (2,134 )     1,078       (12,491 )     (4,305 )
Tax valuation allowance
    4,850     4,174       8,813     1,354       1,498     (1,155 )     4,194     4,366  
Net (loss) income
  $ (12,649 )   $ (11,019 )   $ (22,306 )   $ (3,706 )   $ (3,206 )   $ 3,068     $ (2,457 )   $ (11,370 )
Basic and diluted weighted average number of common shares outstanding
    66,714       65,368       84,167       65,471       84,596       65,473       84,818       65,494  
Basic and diluted net (loss) income per share applicable to common shares
  $ (0.19 )   $ (0.17 )   $ (0.27 )   $ (0.06 )   $ (0.04 )   $ 0.04     $ (0.03 )   $ (0.17 )
   
 
(a)
During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(b)
During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(c)
During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(d)
During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(e)
During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(f)
During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
   
(g)
During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(h)
During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 70 R68.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employee Benefits (Details 4) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Asset allocation structure of the portfolio      
Percentage of fair value of total assets by asset category 100.00% 100.00%  
Fair value of plan assets by asset category $ 77,039 $ 67,760 $ 63,896
Equity securities - domestic
     
Asset allocation structure of the portfolio      
Percentage of fair value of total assets by asset category 55.00% 56.00%  
Equity securities - domestic | Level 1
     
Asset allocation structure of the portfolio      
Fair value of plan assets by asset category 42,710 37,623  
Equity securities - international
     
Asset allocation structure of the portfolio      
Percentage of fair value of total assets by asset category 16.00% 9.00%  
Equity securities - international | Level 1
     
Asset allocation structure of the portfolio      
Fair value of plan assets by asset category 12,067 6,304  
Fixed income
     
Asset allocation structure of the portfolio      
Percentage of fair value of total assets by asset category 24.00% 31.00%  
Fixed income | Level 1
     
Asset allocation structure of the portfolio      
Fair value of plan assets by asset category 18,836 20,848  
Other
     
Asset allocation structure of the portfolio      
Percentage of fair value of total assets by asset category 5.00% 4.00%  
Other | Level 1
     
Asset allocation structure of the portfolio      
Fair value of plan assets by asset category $ 3,426 $ 2,985  
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Basis of Presentation and Background
12 Months Ended
Jan. 04, 2014
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Basis of Presentation and Background
1. Basis of Presentation and Background
 
Basis of Presentation
 
BlueLinx Holdings Inc., operating through our wholly-owned subsidiary, BlueLinx Corporation (BlueLinx Holdings Inc. and its subsidiaries are collectively referred to as “BlueLinx” or the “Company”), is a leading distributor of building products in North America, with approximately 1,700 employees as of January 4, 2014.  We offer approximately 10,000 products from over 750 suppliers to service approximately 11,500 customers nationwide, including dealers, industrial manufacturers, manufactured housing producers and home improvement retailers. We operate our distribution business from sales centers in Atlanta and Denver, and our current network of approximately 50 distribution centers.  The Consolidated Financial Statements include our accounts and those of our wholly-owned subsidiaries. All significant intercompany accounts and transactions have been eliminated. Fiscal 2013 contained 53 weeks. Fiscal 2012 and fiscal 2011 each contained 52 weeks. Our fiscal quarters are quarters based on a 5-4-4 week period, with the exception of the fourth fiscal quarter of fiscal years containing 53 weeks, which are based on a 5-4-5 week period.
 
Nature of Operations
 
We are a wholesale supplier of building products in North America. We distribute products in two principal categories: structural products and specialty products. Structural products include plywood, oriented strand board (“OSB”), rebar and remesh, lumber and other wood products primarily used for structural support, walls and flooring in construction projects. Specialty products include roofing, insulation, moulding, engineered wood, vinyl products (used primarily in siding), outdoor living and metal products (excluding rebar and remesh). These products are sold to a diversified customer base, including independent building materials dealers, industrial and manufactured housing builders and home improvement centers. Net sales by product category are summarized below:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(Dollars in millions)
 
Sales by category
                 
Structural products
  $ 968     $ 806     $ 705  
Specialty products
    1,200       1,114       1,068  
Unallocated allowances and adjustments
    (16 )     (12 )     (18 )
Total sales
  $ 2,152     $ 1,908     $ 1,755  
 
Suppliers
 
As of January 4, 2014, our vendor base included over 750 suppliers of both structural and specialty building products. In some cases, these products are branded. We have supply contracts in place with many of our vendors. Terms for these agreements frequently include prompt payment discounts and freight allowances and occasionally include volume discounts, growth incentives, marketing allowances, consigned inventory and extended payment terms.
XML 73 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Parentheticals) (USD $)
In Thousands, except Share data, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Consolidated Balance Sheets [Abstract]    
Allowances for receivables (in dollars) $ 4,359 $ 4,720
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 200,000,000 100,000,000
Common stock, shares issued 86,545,000 63,664,115
Common stock, shares outstanding 86,545,000 63,664,115
XML 74 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Mortgage
12 Months Ended
Jan. 04, 2014
Mortgage Disclosure [Abstract]  
Mortgage
11. Mortgage
 
We have a $295 million mortgage loan with the German American Capital Corporation. The mortgage has a term of ten years and is secured by 50 distribution facilities. The stated interest rate on the mortgage is fixed at 6.35%. German American Capital Corporation assigned half of its interest in the mortgage loan to Wachovia Bank, National Association and both lenders securitized their Notes in separate commercial mortgage backed securities pools in 2006. As of January 4, 2014 and December 29, 2012, the balance on our mortgage loan was $186.9 million and $206 million, respectively.
 
On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement without incurring a prepayment premium from cash currently held as collateral under the mortgage agreement.  In addition, on the last business day of each calendar quarter, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement will be used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million.  Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, will be released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014.  All funds released pursuant to these provisions may only be used by the Company to pay for usual and customary operating expenses.  During the periods described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement.  Under the terms of our mortgage, we are required to transfer certain funds to be held as collateral. Approximately $6.3 million of funds held in collateral were used to prepay indebtedness under the mortgage agreement during fiscal 2013.  Approximately $2.7 million of cash held in collateral were released to the Company during fiscal 2013 to pay for usual and customary operating expenses.  We expect to transfer approximately $13.2 million as collateral during the next twelve month period, approximately $7.3 million of which will be remitted to us on a quarterly basis to pay for usual and customary operating expenses.  In conjunction with the modification of our mortgage agreement we incurred approximately $0.3 million in fees that were capitalized and are being amortized over the remaining term of the mortgage.
 
During the third quarter of fiscal 2013, we sold our sales center in Denver, Colorado and increased the restricted cash related to our mortgage by $8.4 million, which represents the allocated mortgage related to the property.  During the fourth quarter of fiscal 2013, we sold our Sioux Falls, South Dakota facility and increased the restricted cash related to our mortgage by $1.9 million, which represents the allocated mortgage related to the property.  This restricted cash for both locations was used to pay down the outstanding principal of the mortgage in the fourth quarter of fiscal 2013.  During the first quarter of fiscal 2012, we sold certain parcels of excess land. As a result of the sale of one of these parcels, we increased the amount of restricted cash required to be held in connection with our mortgage by $0.3 million. In addition, during the third quarter of fiscal 2012, we sold our facility in Fremont, California and increased the restricted cash related to our mortgage by $12.8 million.  This restricted cash was used to pay down the mortgage in the fourth quarter of fiscal 2012.
 
The mortgage loan required interest-only payments through June 2011, at which time we began making payments on the outstanding principal balance. The balance of the loan outstanding at the end of ten years will then become due and payable. The principal will be paid in the following increments (in thousands):
         
2014
  $ 2,761  
2015
    2,744  
2016
    181,438  
2017
     
2018
     
Thereafter
     
Total
  $ 186,943
XML 75 R93.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Condensed Consolidating Financial Statements (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Supplemental Statement Of Stockholders' Equity [Abstract]                      
Balance               $ 8,374 $ (20,592) $ 8,374 $ 991
Net (loss) income (2,457) [1] (3,206) [2] (22,306) [3] (12,649) [4] (11,370) [5] 3,068 [6] (3,706) [7] (11,019) [8] (40,618) (23,027) (38,567)
Foreign currency translation adjustment, net of tax                 (161) 103 (92)
Unrealized (loss) income from pension plan, net of taxes                 13,910 (8,245) (14,969)
Unrealized gain (loss) from cash flow hedge, net of tax                     519
Issuance of restricted stock, net of forfeitures                 6 19 7
Issuance of performance shares                 6    
Issuance of stock related to the rights offerings, net of expenses                 38,613   58,521
Compensation related to share-based grants                 6,117 2,730 2,158
Impact of net settled shares for vested grants                 (3,193) (526) (194)
Excess tax benefits from share-based compensation arrangements                 16    
Other                 (2) (20)  
Net transactions with Parent                         
Balance (5,898)       (20,592)       (5,898) (20,592) 8,374
BlueLinx Holdings Inc.
                     
Supplemental Statement Of Stockholders' Equity [Abstract]                      
Balance               8,374 (20,592) 8,374 991
Net (loss) income                 (40,618) (23,027) (38,567)
Foreign currency translation adjustment, net of tax                 (161) 103 (92)
Unrealized (loss) income from pension plan, net of taxes                 13,910 (8,245) (14,969)
Unrealized gain (loss) from cash flow hedge, net of tax                     519
Issuance of restricted stock, net of forfeitures                 6 19 7
Issuance of performance shares                 6    
Issuance of stock related to the rights offerings, net of expenses                 38,613   58,521
Compensation related to share-based grants                 6,117 2,730 2,158
Impact of net settled shares for vested grants                 (3,193) (526) (194)
Excess tax benefits from share-based compensation arrangements                 16    
Other                 (2) (20)  
Net transactions with Parent                         
Balance (5,898)       (20,592)       (5,898) (20,592) 8,374
BlueLinx Corporation and Subsidiaries
                     
Supplemental Statement Of Stockholders' Equity [Abstract]                      
Balance               83,626 40,603 83,626 94,273
Net (loss) income                 (49,205) (37,237) (52,910)
Foreign currency translation adjustment, net of tax                 (161) 103 (92)
Unrealized (loss) income from pension plan, net of taxes                 13,910 (8,245) (14,969)
Unrealized gain (loss) from cash flow hedge, net of tax                     519
Issuance of restricted stock, net of forfeitures                 6 19   
Issuance of performance shares                 6    
Issuance of stock related to the rights offerings, net of expenses                        
Compensation related to share-based grants                         
Impact of net settled shares for vested grants                         
Other                        
Net transactions with Parent                 43,880 2,337 56,805
Balance 49,039       40,603       49,039 40,603 83,626
LLC Subsidiaries
                     
Supplemental Statement Of Stockholders' Equity [Abstract]                      
Balance               (124,175) (107,656) (124,175) (140,314)
Net (loss) income                 14,343 18,536 18,530
Foreign currency translation adjustment, net of tax                         
Unrealized (loss) income from pension plan, net of taxes                         
Unrealized gain (loss) from cash flow hedge, net of tax                       
Issuance of restricted stock, net of forfeitures                         
Issuance of performance shares                       
Issuance of stock related to the rights offerings, net of expenses                        
Compensation related to share-based grants                         
Impact of net settled shares for vested grants                         
Other                        
Net transactions with Parent                 3,461 (2,017) (2,391)
Balance (96,774)       (107,656)       (96,774) (107,656) (124,175)
Eliminations
                     
Supplemental Statement Of Stockholders' Equity [Abstract]                      
Balance               40,549 67,053 40,549 46,041
Net (loss) income                 34,862 18,701 34,380
Foreign currency translation adjustment, net of tax                 161 (103) 92
Unrealized (loss) income from pension plan, net of taxes                 (13,910) 8,245 14,969
Unrealized gain (loss) from cash flow hedge, net of tax                     (519)
Issuance of restricted stock, net of forfeitures                 (6) (19)   
Issuance of performance shares                 (6)    
Issuance of stock related to the rights offerings, net of expenses                        
Compensation related to share-based grants                         
Impact of net settled shares for vested grants                         
Other                        
Net transactions with Parent                 (40,419) (320) (54,414)
Balance $ 47,735       $ 67,053       $ 47,735 $ 67,053 $ 40,549
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 76 R91.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Condensed Consolidating Financial Statements (Details 1) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Jan. 01, 2011
Current assets:        
Cash $ 5,034 $ 5,188 $ 4,898 $ 14,297
Receivables 150,297 157,465    
Inventories 223,580 230,059    
Other current assets 22,814 19,427    
Intercompany receivable          
Total current assets 401,725 412,139    
Property and equipment:        
Land and land improvements 41,176 43,120    
Buildings 90,082 94,070    
Machinery and equipment 73,004 78,674    
Construction in progress 3,028 1,173    
Property and equipment, at cost 207,290 217,037    
Accumulated depreciation (96,171) (101,684)    
Property and equipment, net 111,119 115,353    
Investment in subsidiaries          
Non-current deferred income tax assets, net 824 445    
Other non-current assets 16,578 16,799    
Total assets 530,246 544,736    
Current liabilities:        
Accounts payable 60,363 77,850    
Bank overdrafts 19,377 35,384    
Accrued compensation 4,173 6,170    
Current maturities of long-term debt 9,141 8,946    
Deferred income tax liabilities, net 823 449    
Other current liabilities 12,949 10,937    
Intercompany payable          
Total current liabilities 106,826 139,736    
Non-current liabilities:        
Long-term debt 388,995 368,446    
Other non-current liabilities 40,323 57,146    
Non-current deferred income taxes         
Total liabilities 536,144 565,328    
Stockholders' (deficit) equity/Parent's Investment (5,898) (20,592) 8,374 991
Total liabilities and (deficit) equity 530,246 544,736    
BlueLinx Holdings Inc.
       
Current assets:        
Cash 47 28 27 384
Receivables          
Inventories          
Deferred income tax asset, net         
Other current assets 790 1,596    
Intercompany receivable 68,454 73,981    
Total current assets 69,291 75,605    
Property and equipment:        
Land and land improvements          
Buildings          
Machinery and equipment          
Construction in progress          
Property and equipment, at cost          
Accumulated depreciation          
Property and equipment, net          
Investment in subsidiaries (47,735) (67,053)    
Non-current deferred income tax assets, net          
Other non-current assets          
Total assets 21,556 8,552    
Current liabilities:        
Accounts payable 1,080 203    
Bank overdrafts          
Accrued compensation    127    
Current maturities of long-term debt          
Deferred income tax liabilities, net          
Other current liabilities          
Intercompany payable 26,374 28,814    
Total current liabilities 27,454 29,144    
Non-current liabilities:        
Long-term debt          
Other non-current liabilities          
Non-current deferred income taxes         
Total liabilities 27,454 29,144    
Stockholders' (deficit) equity/Parent's Investment (5,898) (20,592) 8,374 991
Total liabilities and (deficit) equity 21,556 8,552    
BlueLinx Corporation and Subsidiaries
       
Current assets:        
Cash 4,987 5,160 4,871 13,913
Receivables 150,297 157,465    
Inventories 223,580 230,059    
Deferred income tax asset, net         
Other current assets 20,208 17,790    
Intercompany receivable 26,374 28,814    
Total current assets 425,446 439,288    
Property and equipment:        
Land and land improvements 4,040 3,250    
Buildings 10,839 10,213    
Machinery and equipment 73,004 78,674    
Construction in progress 3,028 1,173    
Property and equipment, at cost 90,911 93,310    
Accumulated depreciation (64,557) (71,583)    
Property and equipment, net 26,354 21,727    
Investment in subsidiaries          
Non-current deferred income tax assets, net 1,221 445    
Other non-current assets 11,768 10,646    
Total assets 464,789 472,106    
Current liabilities:        
Accounts payable 59,283 77,257    
Bank overdrafts 19,377 35,384    
Accrued compensation 4,173 6,043    
Current maturities of long-term debt          
Deferred income tax liabilities, net 1,220 449    
Other current liabilities 11,727 9,831    
Intercompany payable 68,454 73,981    
Total current liabilities 164,234 202,945    
Non-current liabilities:        
Long-term debt 211,193 171,412    
Other non-current liabilities 40,323 57,146    
Non-current deferred income taxes         
Total liabilities 415,750 431,503    
Stockholders' (deficit) equity/Parent's Investment 49,039 40,603 83,626 94,273
Total liabilities and (deficit) equity 464,789 472,106    
LLC Subsidiaries
       
Current assets:        
Cash            
Receivables          
Inventories          
Deferred income tax asset, net 397      
Other current assets 1,816 41    
Intercompany receivable          
Total current assets 2,213 41    
Property and equipment:        
Land and land improvements 37,136 39,870    
Buildings 79,243 83,857    
Machinery and equipment          
Construction in progress          
Property and equipment, at cost 116,379 123,727    
Accumulated depreciation (31,614) (30,101)    
Property and equipment, net 84,765 93,626    
Investment in subsidiaries          
Non-current deferred income tax assets, net          
Other non-current assets 4,810 6,153    
Total assets 91,788 99,820    
Current liabilities:        
Accounts payable    390    
Bank overdrafts          
Accrued compensation          
Current maturities of long-term debt 9,141 8,946    
Deferred income tax liabilities, net          
Other current liabilities 1,222 1,106    
Intercompany payable          
Total current liabilities 10,363 10,442    
Non-current liabilities:        
Long-term debt 177,802 197,034    
Other non-current liabilities          
Non-current deferred income taxes 397      
Total liabilities 188,562 207,476    
Stockholders' (deficit) equity/Parent's Investment (96,774) (107,656) (124,175) (140,314)
Total liabilities and (deficit) equity 91,788 99,820    
Eliminations
       
Current assets:        
Cash            
Receivables          
Inventories          
Deferred income tax asset, net (397)      
Other current assets          
Intercompany receivable (94,828) (102,795)    
Total current assets (95,225) (102,795)    
Property and equipment:        
Land and land improvements          
Buildings          
Machinery and equipment          
Construction in progress          
Property and equipment, at cost          
Accumulated depreciation          
Property and equipment, net          
Investment in subsidiaries 47,735 67,053    
Non-current deferred income tax assets, net (397)       
Other non-current assets          
Total assets (47,887) (35,742)    
Current liabilities:        
Accounts payable          
Bank overdrafts          
Accrued compensation          
Current maturities of long-term debt          
Deferred income tax liabilities, net (397)       
Other current liabilities          
Intercompany payable (94,828) (102,795)    
Total current liabilities (95,225) (102,795)    
Non-current liabilities:        
Long-term debt          
Other non-current liabilities          
Non-current deferred income taxes (397)      
Total liabilities (95,622) (102,795)    
Stockholders' (deficit) equity/Parent's Investment 47,735 67,053 40,549 46,041
Total liabilities and (deficit) equity $ (47,887) $ (35,742)    
XML 77 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information (USD $)
12 Months Ended
Jan. 04, 2014
Feb. 24, 2014
Jun. 29, 2013
Document and Entity Information [Abstract]      
Entity Registrant Name BlueLinx Holdings Inc.    
Entity Central Index Key 0001301787    
Trading Symbol bxc    
Entity Current Reporting Status Yes    
Entity Voluntary Filers No    
Current Fiscal Year End Date --01-04    
Entity Filer Category Non-accelerated Filer    
Entity Well-Known Seasoned Issuer No    
Entity Common Stock, Shares Outstanding   87,621,553  
Entity Public Float     $ 54,108,842
Document Type 10-K    
Document Period End Date Jan. 04, 2014    
Amendment Flag false    
Document Fiscal Year Focus 2013    
Document Fiscal Period Focus FY    
XML 78 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Derivatives
12 Months Ended
Jan. 04, 2014
Derivatives [Abstract]  
Derivatives
12.  Derivatives
 
On June 12, 2006, we entered into an interest rate swap agreement with Goldman Sachs Capital Markets, to hedge against interest rate risks related to our variable rate U.S. revolving credit facility. The interest rate swap was terminated in March of 2011. Due to the termination of the swap in fiscal 2011, the fair value of the swap as of December 31, 2011 was zero. Changes associated with the ineffective interest rate swap recognized in the Consolidated Statements of Operations and Comprehensive Loss for fiscal 2011 were approximately $1.7 million of income and were comprised of amortization of the remaining accumulated other comprehensive loss of the ineffective swap of $0.5 million offset by income of $2.2 million related to reducing the fair value of the ineffective interest rate swap liability to zero.
XML 79 R80.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Detail Textuals) (USD $)
In Millions, unless otherwise specified
Jan. 04, 2014
Dec. 29, 2012
Discounted carrying value
   
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Value of mortgage $ 186.9 $ 206.0
Fair value
   
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Value of mortgage $ 186.6 $ 205.5
XML 80 R90.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Condensed Consolidating Financial Statements (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Consolidating statement of operations                      
Net sales $ 486,275 [1] $ 557,952 [2] $ 604,592 [3] $ 503,153 [4] $ 440,298 [5] $ 496,810 [6] $ 517,026 [7] $ 453,708 [8] $ 2,151,972 $ 1,907,842 $ 1,755,431
Cost of sales                 1,923,489 1,677,772 1,545,282
Gross profit 54,348 [1] 62,492 [2] 55,185 [3] 56,458 [4] 52,119 [5] 60,531 [6] 63,188 [7] 54,232 [8] 228,483 230,070 210,149
Operating expenses (income):                      
Selling, general and administrative 55,627 [1] 58,176 [2] 61,201 [3] 58,760 [4] 54,842 [5] 57,307 [6] 57,564 [7] 56,644 [8] 240,667 215,996 207,857
Depreciation and amortization 2,571 [1] 2,144 [2] 2,229 [3] 2,173 [4] 2,012 [5] 2,106 [6] 2,187 [7] 2,260 [8] 9,117 8,565 10,562
Total operating expenses (income)                 249,784 224,561 218,419
Operating (loss) income (3,706) [1] 3,093 [2] (15,554) [3] (5,134) [4] (4,531) [5] 10,269 [6] 3,865 [7] (4,094) [8] (21,301) 5,509 (8,270)
Non-operating expenses:                      
Interest expense 6,998 [1] 6,918 [2] 6,916 [3] 7,192 [4] 6,756 [5] 7,294 [6] 7,325 [7] 6,782 [8] 28,024 28,157 30,510
Changes associated with ineffective interest rate swap                     (1,676)
Other expense (income), net (50) [1] (17) [2] (128) [3] (110) [4] (22) [5] 16 [6] (49) [7] 62 [8] 306 (7) 501
(Loss) income before provision for (benefit from) income taxes                 (49,631) (22,641) (37,605)
Provision for (benefit from) income taxes (12,491) [1] (2,134) [2] (9,105) [3] (4,637) [4] (4,305) [5] 1,078 [6] (1,157) [7] (3,969) [8] (9,013) 386 962
Equity in (loss) income of subsidiaries                         
Net (loss) income (2,457) [1] (3,206) [2] (22,306) [3] (12,649) [4] (11,370) [5] 3,068 [6] (3,706) [7] (11,019) [8] (40,618) (23,027) (38,567)
BlueLinx Holdings
                     
Consolidating statement of operations                      
Net sales                         
Cost of sales                         
Gross profit                         
Operating expenses (income):                      
Selling, general and administrative                 5,913 3,940 3,728
Depreciation and amortization                         
Total operating expenses (income)                 5,913 3,940 3,728
Operating (loss) income                 (5,913) (3,940) (3,728)
Non-operating expenses:                      
Interest expense                         
Changes associated with ineffective interest rate swap                       
Other expense (income), net                         
(Loss) income before provision for (benefit from) income taxes                 (5,913) (3,940) (3,728)
Provision for (benefit from) income taxes                 (157) 386 459
Equity in (loss) income of subsidiaries                 (34,862) (18,701) (34,380)
Net (loss) income                 (40,618) (23,027) (38,567)
BlueLinx Corporation and Subsidiaries
                     
Consolidating statement of operations                      
Net sales                 2,151,972 1,907,842 1,755,431
Cost of sales                 1,923,489 1,677,772 1,545,282
Gross profit                 228,483 230,070 210,149
Operating expenses (income):                      
Selling, general and administrative                 267,232 250,098 244,398
Depreciation and amortization                 5,700 5,040 6,790
Total operating expenses (income)                 272,932 255,138 251,188
Operating (loss) income                 (44,449) (25,068) (41,039)
Non-operating expenses:                      
Interest expense                 13,686 12,159 12,528
Changes associated with ineffective interest rate swap                     (1,676)
Other expense (income), net                 318 10 516
(Loss) income before provision for (benefit from) income taxes                 (58,453) (37,237) (52,407)
Provision for (benefit from) income taxes                 (9,248)    503
Equity in (loss) income of subsidiaries                         
Net (loss) income                 (49,205) (37,237) (52,910)
LLC Subsidiaries
                     
Consolidating statement of operations                      
Net sales                 27,363 28,330 29,665
Cost of sales                         
Gross profit                 27,363 28,330 29,665
Operating expenses (income):                      
Selling, general and administrative                 (5,115) (9,712) (10,604)
Depreciation and amortization                 3,417 3,525 3,772
Total operating expenses (income)                 (1,698) (6,187) (6,832)
Operating (loss) income                 29,061 34,517 36,497
Non-operating expenses:                      
Interest expense                 14,338 15,998 17,982
Changes associated with ineffective interest rate swap                       
Other expense (income), net                 (12) (17) (15)
(Loss) income before provision for (benefit from) income taxes                 14,735 18,536 18,530
Provision for (benefit from) income taxes                 392      
Equity in (loss) income of subsidiaries                         
Net (loss) income                 14,343 18,536 18,530
Eliminations
                     
Consolidating statement of operations                      
Net sales                 (27,363) (28,330) (29,665)
Cost of sales                         
Gross profit                 (27,363) (28,330) (29,665)
Operating expenses (income):                      
Selling, general and administrative                 (27,363) (28,330) (29,665)
Depreciation and amortization                         
Total operating expenses (income)                 (27,363) (28,330) (29,665)
Operating (loss) income                        
Non-operating expenses:                      
Interest expense                         
Changes associated with ineffective interest rate swap                       
Other expense (income), net                         
(Loss) income before provision for (benefit from) income taxes                         
Provision for (benefit from) income taxes                         
Equity in (loss) income of subsidiaries                 34,862 18,701 34,380
Net (loss) income                 $ 34,862 $ 18,701 $ 34,380
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
XML 81 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Consolidated Statements Of Operations and Comprehensive Loss [Abstract]      
Net sales $ 2,151,972 $ 1,907,842 $ 1,755,431
Cost of sales 1,923,489 1,677,772 1,545,282
Gross profit 228,483 230,070 210,149
Operating expenses:      
Selling, general, and administrative 240,667 215,996 207,857
Depreciation and amortization 9,117 8,565 10,562
Total operating expenses 249,784 224,561 218,419
Operating (loss) income (21,301) 5,509 (8,270)
Non-operating expenses (income):      
Interest expense 28,024 28,157 30,510
Changes associated with the ineffective interest rate swap     (1,676)
Other expense (income), net 306 (7) 501
Loss before (benefit from) provision for income taxes (49,631) (22,641) (37,605)
(Benefit from) provision for income taxes (9,013) 386 962
Net loss (40,618) (23,027) (38,567)
Basic and diluted weighted average number of common shares outstanding (in shares) 80,163,000 65,452,000 47,049,000
Basic and diluted net loss per share applicable to common shares outstanding (in dollars per share) $ (0.51) $ (0.35) $ (0.82)
Comprehensive loss:      
Net loss (40,618) (23,027) (38,567)
Other comprehensive income (loss):      
Foreign currency translation, net of taxes (161) 103 (92)
Unrealized gain (loss) from pension plan, net of taxes 13,910 (8,245) (14,969)
Unrealized gain from ineffective interest rate swap, net of taxes     519
Total other comprehensive income (loss) 13,749 (8,142) (14,542)
Comprehensive loss $ (26,869) $ (31,169) $ (53,109)
XML 82 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables
12 Months Ended
Jan. 04, 2014
Receivables [Abstract]  
Receivables
6. Receivables
 
We have a diversified customer base concentrated in the building products business. Credit risk is monitored and provisions for expected losses are provided as determined necessary by management. We generally do not require collateral.
 
The following reflects our activity in receivables related reserve accounts:
                                 
   
Beginning
Balance
   
Expense/
(Income)
   
Write offs and
Other, Net
   
Ending
Balance
 
   
(In thousands)
 
Fiscal 2011
                       
Allowance for doubtful accounts and related reserves
  $ 5,715     $ 2,576     $ (3,156 )   $ 5,135  
Fiscal 2012
                               
Allowance for doubtful accounts and related reserves
  $ 5,135     $ 2,034     $ (2,449 )   $ 4,720  
Fiscal 2013
                               
Allowance for doubtful accounts and related reserves
  $ 4,720     $ 1,581     $ (1,942 )   $ 4,359  
XML 83 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
12 Months Ended
Jan. 04, 2014
Income Taxes [Abstract]  
Income Taxes
5. Income Taxes
 
Our (benefit from) provision for income taxes consists of the following:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Federal income taxes:
                 
Current
  $ (492 )   $ 16     $ (89 )
Deferred
    (7,385 )            
State income taxes:
                       
Current
    192       334       759  
Deferred
    (1,343 )            
Foreign income taxes:
                       
Current
    19       56       317  
Deferred
    (4 )     (20 )     (25 )
(Benefit from) provision for income taxes
  $ (9,013 )   $ 386     $ 962  
 
The federal statutory income tax rate was 35%. Our provision for (benefit from) income taxes is reconciled to the federal statutory amount as follows:
                         
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(In thousands)
 
Benefit from income taxes computed at the federal statutory tax rate
  $ (17,371 )   $ (7,924 )   $ (13,162 )
Benefit from state income taxes, net of federal benefit
    (1,991 )     (866 )     (1,296 )
Valuation allowance change
    19,445       8,820       14,498  
Nondeductible items
    270       484       806  
Benefit from allocation of income taxes to other comprehensive income (loss)
    (8,726 )            
 
                       
Other
    (640 )     (128 )     116  
(Benefit from) provision for income taxes
  $ (9,013 )   $  386     $ 962  
 
Our income before provision for income taxes for our Canadian operations was $0.1 million, $0.1 million and $0.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
For fiscal 2013, we recognized tax benefit of $9.0 million. The benefit recognized for the year is primarily comprised of $8.7 million of deferred income tax benefit resulting from the allocation of income tax expense to other comprehensive income (loss). In addition, we recognized an income tax benefit related to the reversal of a $0.6 million reserve for an uncertain tax position due to the expiration of the statue of limitations. Finally, we recognized current state income tax expense of $0.3 million related to earnings generated on a separate company basis.
 
For fiscal 2012, we recognized tax expense of $0.4 million. The expense recognized for the year is primarily comprised of $0.3 million for current state income tax expense related to earnings generated on a separate company basis.
 
For fiscal 2011, we recognized tax expense of $1.0 million. The expense recognized for the year is primarily comprised of $0.8 million for current state income tax expense related to earnings generated on a separate company basis and $0.3 million of current income tax expense resulting from foreign income taxes.
 
In accordance with the intraperiod tax allocation provisions of U.S. GAAP, we are required to consider all items (including items recorded in other comprehensive income) in determining the amount of tax benefit that results from a loss from continuing operations that should be allocated to continuing operations. In fiscal 2013, a non-cash tax benefit on the loss from continuing operations of $8.7 million, which was offset in full by income tax expense, was recorded in other comprehensive income. In fiscal 2012 and fiscal 2011, there was no intraperiod tax allocation due to the fact that there was a loss in other comprehensive income for the period. While the income tax benefit from continuing operations is reported in our Consolidated Statements of Operations and Comprehensive Loss, the income tax expense on other comprehensive income is recorded directly to accumulated other comprehensive loss, which is a component of stockholders’ equity.
 
Our financial statements contain certain deferred tax assets which have arisen primarily as a result of tax benefits associated with the loss before income taxes incurred, as well as net deferred income tax assets resulting from other temporary differences related to certain reserves, pension obligations and differences between book and tax depreciation and amortization. We record a valuation allowance against our net deferred tax assets when we determine that based on the weight of available evidence, it is more likely than not that our net deferred tax assets will not be realized.
 
In our evaluation of the weight of available evidence, we considered recent reported losses as negative evidence which carried substantial weight. Therefore, we considered evidence related to the four sources of taxable income, to determine whether such positive evidence outweighed the negative evidence associated with the losses incurred. The positive evidence considered included:
 
 
taxable income in prior carryback years, if carryback is permitted under the tax law;
 
 
future reversals of existing taxable temporary differences;
 
 
tax planning strategies; and
 
 
future taxable income exclusive of reversing temporary differences and carryforwards.
 
During fiscal 2013 and 2012, we weighed all available positive and negative evidence and concluded the weight of the negative evidence of a three year cumulative loss continued to outweigh the positive evidence.  Based on the conclusions reached, we maintained a full valuation allowance during 2013 and 2012.
 
The components of our net deferred income tax assets (liabilities) are as follows:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Deferred income tax assets:
           
Inventory reserves
  $ 2,832     $ 2,816  
Compensation-related accruals
    4,893       5,838  
Accruals and reserves
    1,030       92  
Accounts receivable
    1,291       1,327  
Restructuring costs
    488       118  
Pension
    8,245       16,936  
Benefit from NOL carryovers(1)
    70,169       52,088  
Other
    703       695  
Total gross deferred income tax assets
    89,651       79,910  
Less: Valuation allowances
    (88,279 )     (78,050 )
Total net deferred income tax assets
  $ 1,372     $ 1,860  
Deferred income tax liabilities:
               
Intangible assets
          (60 )
Property and equipment
    (365 )     (1,065 )
Other
    (1,006 )     (739 )
Total deferred income tax liabilities
    (1,371 )     (1,864 )
Deferred income tax assets (liabilities), net
  $ 1     $ (4 )
 
 
(1)
Our federal NOL carryovers are $168.1 million and will expire in 15 to 20 years. Our state NOL carryovers are $232.2 million and will expire in 1 to 20 years.
 
Activity in our deferred tax asset valuation allowance for fiscal 2013 and fiscal 2012 was as follows (in thousands):
                 
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
 
Balance at beginning of the year
  $ 78,050     $ 66,793  
Valuation allowance removed for taxes related to:
               
Income before income taxes
           
Valuation allowance provided for taxes related to:
               
Loss before income taxes
    10,229       11,257  
Effect of a change in judgment
           
Balance at end of the year
  $ 88,279     $ 78,050  
 
We have recorded income tax and related interest liabilities where we believe certain of our tax positions are not more likely than not to be sustained if challenged. The following table summarizes the activity related to our unrecognized tax benefits:
         
   
(In thousands)
 
Balance at January 1, 2011
  $ 677  
Increases related to current year tax positions
     
Additions for tax positions in prior years
    196  
Reductions for tax positions in prior years
     
Settlements
     
Balance at December 31, 2011
    873  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statue of limitations
    (47 )
Settlements
     
Balance at December 29, 2012
    826  
Increases related to current year tax positions
     
Additions for tax positions in prior years
     
Reductions for tax positions in prior years
     
Reductions due to lapse of applicable statute of limitations
    (567 )
Settlements
     
Balance at January 4, 2014
  $ 259  
 
Included in the unrecognized tax benefits at January 4, 2014 and December 29, 2012 were $0.3 million and $0.8 million, respectively, of tax benefits that, if recognized, would reduce our annual effective tax rate.  We also accrued an immaterial amount of interest related to these unrecognized tax benefits during 2013 and 2012, and this amount is reported in “Interest expense” in our Consolidated Statements of Operations and Comprehensive Loss. We do not expect our unrecognized tax benefits to change materially over the next 12 months.
 
We file U.S., state, and foreign income tax returns in jurisdictions with varying statutes of limitations. The 2010 through 2013 tax years generally remain subject to examination by federal and most state and foreign tax authorities.
XML 84 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Loss
12 Months Ended
Jan. 04, 2014
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Accumulated Other Comprehensive Loss
17. Accumulated Other Comprehensive Loss
 
Comprehensive income (loss) is a measure of income which includes both net loss and other comprehensive income (loss). Other comprehensive income (loss) results from items deferred from recognition into our Consolidated Statements of Operations and Comprehensive Loss. Accumulated other comprehensive loss is separately presented on our Consolidated Balance Sheets as part of common stockholders’ deficit. Other comprehensive income (loss) was $13.7 million, $(8.1) million, and $(14.5) million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2013 were as follows (in thousands):
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  
Other comprehensive loss (income) before reclassification, net of tax
      (161 )                       (161 )  
Amounts reclassified from accumulated other comprehensive loss, net of tax
              13,910                 13,910    
Current-period other comprehensive (loss) income, net of tax 
      (161 )       13,910                 13,749    
Ending balance, net of tax
    $ 1,636       $ (18,141 )     $ 212       $ (16,293 )  
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2012 were as follows (in thousands):
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
Current-period other comprehensive income (loss) net of tax 
      103         (8,245 )               (8,142 )  
Ending balance, net of tax
    $ 1,797       $ (32,051 )     $ 212       $ (30,042 )  
 
The changes in accumulated balances for each component of other comprehensive income (loss) for fiscal 2011 were as follows (in thousands):
 
 
 
 
    Foreign 
currency, net
of tax
  Defined 
benefit pension
plan, net of tax
  Other, net of tax   Total  
Beginning balance
    $ 1,786       $ (8,837 )     $ (307 )     $ (7,358 )  
Current-period other comprehensive (loss) income, net of tax 
      (92 )       (14,969 )       519         (14,542 )  
Ending balance, net of tax
    $ 1,694       $ (23,806 )     $ 212       $ (21,900 )  
 
Reclassifications out of accumulated other comprehensive loss into the Consolidated Statements of Operations and Comprehensive Loss for fiscal 2013 were as follows (in thousands):
             
 
 
 Details about accumulated other comprehensive 
loss components
  Amount reclassified from 
accumulated other 
comprehensive loss
 
Affected line item in the
statement where net
income is presented
Amortization of defined benefit pension items:
           
Actuarial gain
    $ 22,804    
Total before tax (1)
Tax impact 
      8,894    
Tax impact (2)
Total, net of tax
    $ 13,910    
Net of tax
 
(1) This accumulated other comprehensive loss component is included in the computation of net periodic pension cost. Refer to Note 8 of the Notes to Consolidated Financial Statements for the required disclosures.
 
(2) We allocated income tax expense to accumulated other comprehensive loss to the extent income was recorded in accumulated other comprehensive loss and we have a loss from continuing operations. Refer to Note 5 of the Notes to Consolidated Financial Statements for the required disclosures.
 
There were no reclassifications out of accumulated other comprehensive loss for fiscal 2012 and fiscal 2011 due to the fact that there was no intraperiod income tax allocation and the deferred tax benefit was fully offset by a valuation allowance.
XML 85 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
12 Months Ended
Jan. 04, 2014
Fair Value Measurements [Abstract]  
Fair Value Measurements
13. Fair Value Measurements
 
We determine a fair value measurement based on the assumptions a market participant would use in pricing an asset or liability.  The fair value measurement guidance established a three level hierarchy making a distinction between market participant assumptions based on (i) unadjusted quoted prices for identical assets or liabilities in an active market (Level 1), (ii) quoted prices in markets that are not active or inputs that are observable either directly or indirectly for substantially the full term of the asset or liability (Level 2), and (iii) prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement (Level 3).
 
 Carrying amounts for our financial instruments are not significantly different from their fair value, with the exception of our mortgage.  To determine the fair value of our mortgage, we used a discounted cash flow model. We believe the mortgage fair value valuation to be Level 2 in the fair value hierarchy, as the valuation model has inputs that are observable for substantially the full term of the liability. Assumptions critical to our fair value measurements in the period are present value factors used in determining fair value and an interest rate.  At January 4, 2014, the discounted carrying value and fair value of our mortgage was $186.9 million and $186.6 million, respectively.  At December 29, 2012, the discounted carrying value and fair value of our mortgage was $206.0 million and $205.5 million, respectively.
XML 86 R84.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Detail Textuals 1) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Agreement
Dec. 29, 2012
Dec. 31, 2011
Commitments And Contingencies [Line Items]      
Total rental expense $ 4.8 $ 4.8 $ 4.8
Carrying amount of capital leases related to trucks and trailors 15.4 10.3 5.0
Net book value of capital leases related to trucks and trailors $ 11.1 $ 9.3 $ 4.0
Percentages of employees represented by various labour unions 33.00%    
Number of collective bargaining agreements 36    
Number of collective bargaining agreements up for renewal 5    
Minimum
     
Commitments And Contingencies [Line Items]      
Capital leases maturity period 5 years    
Maximum
     
Commitments And Contingencies [Line Items]      
Capital leases maturity period 6 years    
XML 87 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Inventory Reserve Accounts
12 Months Ended
Jan. 04, 2014
Inventory Reserve Accounts [Abstract]  
Inventory Reserve Accounts
9. Inventory Reserve Accounts
 
The following reflects our activity for inventory reserve accounts (in thousands):
                                 
   
Beginning
Balance
   
Expense
   
Write-offs and
Other, net
   
Ending
Balance
 
Fiscal 2011
                       
Obsolescence/damaged inventory reserve
  $ 1,670     $ 2,309     $ (2,487 )   $ 1,492  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2012
                               
Obsolescence/damaged inventory reserve
  $ 1,492     $ 3,625     $ (3,991 )   $ 1,126  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2013
                               
Obsolescence/damaged inventory reserve
  $ 1,126     $ 4,783     $ (4,111 )   $ 1,798  
Lower of cost or market reserve
  $     $ 3,843     $ (3,843 )   $  
XML 88 R60.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation (Details) (Stock options, USD $)
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Stock options
     
Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward]      
Options outstanding 905,316 905,316 924,815
Options granted         
Options exercised         
Options forfeited         
Options expired (120,816)    (19,499)
Options outstanding 784,500 905,316 905,316
Options exercisable 784,500    
Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price [Roll Forward]      
Options outstanding $ 6.18 $ 6.18 $ 6.31
Options granted         
Options exercised         
Options forfeited         
Options expired $ 13.58    $ 12.53
Options outstanding $ 5.05 $ 6.18 $ 6.18
Options exercisable $ 5.05    
XML 89 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation
12 Months Ended
Jan. 04, 2014
Stock-Based Compensation [Abstract]  
Stock-Based Compensation
7. Stock-Based Compensation
 
We have two stock-based compensation plans covering officers, directors and certain employees and consultants: the 2004 Equity Incentive Plan (the “2004 Plan”) and the 2006 Long Term Equity Incentive Plan (the “2006 Plan”). The plans are designed to motivate and retain individuals who are responsible for the attainment of our primary long-term performance goals. The plans provide a means whereby our employees and directors develop a sense of proprietorship and personal involvement in our development and financial success and encourage them to devote their best efforts to our business. Although we do not have a formal policy on the matter, we issue new shares of our common stock to participants, upon the exercise of options, upon the granting of restricted stock or upon the vesting of performance shares, out of the total amount of common shares authorized for issuance under the 2004 Plan or the 2006 Plan.
 
The 2004 Plan provides for the grant of nonqualified stock options, incentive stock options and restricted shares of our common stock to participants of the plan selected by our Board of Directors or a committee of the Board that administers the 2004 Plan. We reserved 2,222,222 shares of our common stock for issuance under the 2004 Plan. The terms and conditions of awards under the 2004 Plan are determined by the administrator for each grant.
 
The 2006 Plan permits the grant of nonqualified stock options, incentive stock options, stock appreciation rights, restricted stock, restricted stock units, performance shares, performance units, cash-based awards, and other stock-based awards to participants of the 2006 Plan selected by our Board of Directors or a committee of the Board that administers the 2006 Plan. We reserved 12,200,000 shares of our common stock for issuance under the 2006 Plan. The terms and conditions of awards under the 2006 Plan are determined by the administrator for each grant. Awards issued under the 2006 Plan are subject to accelerated vesting in the event of a change in control as such event is defined in the 2006 Plan.
 
During fiscal 2013, the Compensation Committee granted 1,202,185 restricted shares of our common stock to certain of our officers and directors.  Due to the change in executive leadership, 1,081,071 restricted shares vested.  In addition, 378,629 restricted shares of certain other executives vested as a result of the 2013 restructuring.  Restricted shares of 2,587,452 vested in fiscal 2013 due to the completion of the vesting term and the modification related to the change in executive leadership and the 2013 restructuring.  In addition, in fiscal 2013 the Compensation Committee granted certain of our executive officers and directors awards of performance shares of our common stock. These performance share awards, which totaled 2,969,424, and vest in three equal tranches, are contingent upon the successful achievement of certain financial and strategic goals approved by the Compensation Committee.  In conjunction with the change in executive leadership and the 2013 restructuring, performance shares of 627,320 vested due to the removal of vesting and performance criteria. There were no stock options granted during fiscal 2013, 2012 or fiscal 2011.
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent the occurrence of such conditions are probable. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.
 
As of January 4, 2014, there was $1.4 million and $4.4 million of total unrecognized compensation expense related to restricted stock and performance shares, respectively. The unrecognized compensation expense is expected to be recognized over weighted average term of 1.4 years and 1.5 years for restricted stock and performance shares, respectively. As of December 29, 2012, there was $2.5 million of total unrecognized compensation expense related to restricted stock.  There was no future compensation expense remaining for options as of January 4, 2014 and December 29, 2012.  As of January 4, 2014, the weighted average remaining contractual term for our options, restricted stock, and performance shares was 4.1 years, 1.2 years and 1.2 years, respectively. As of December 29, 2012, the weighted average remaining contractual term for our options and restricted stock was 4.9 years and 1.4 years, respectively.  The maximum contractual term for stock options, restricted stock, and performance shares  is 10 years, 1 to 3 years, and 1 to 3 years, respectively.
 
For fiscal 2013, fiscal 2012 and fiscal 2011, our total stock-based compensation expense was $6.1 million, $2.8 million, and $2.0 million, respectively.  We also recognized related income tax benefits of $2.4 million, $1.1 million and $0.8 million, respectively which has been offset by a valuation allowance.  Approximately $2.9 million of total stock-based compensation during fiscal 2013 is related to the 2013 restructuring and the change in executive leadership.
 
The total fair value of the options vested in fiscal 2011 was $0.7 million. There were no options vested in fiscal 2012 and fiscal 2013.  For restricted stock, the total fair value vested in 2013, fiscal 2012 and fiscal 2011 was $6.4 million, $2.3 million and $2.2 million, respectively. For performance shares, the total fair value vested in 2013 was $1.5 million.
 
There were no stock option exercises during fiscal 2013, fiscal 2012 or fiscal 2011. We present the benefits of tax deductions in excess of recognized compensation expense as both a financing cash inflow and an operating cash outflow in our Consolidated Statements of Cash Flows when present.  There were $16 thousand excess tax benefits in fiscal 2013. There were no excess tax benefits in fiscal 2012 and fiscal 2011.
 
On December 30, 2013, the Compensation Committee approved an amendment to the 2013 Performance Share Award Agreement under the 2006 Plan (the “2013 Amendment”).  The 2013 Amendment provides that the first tranche of the performance shares granted during fiscal 2013 will vest in fiscal 2014, despite the original performance criteria not being achieved.  The 2013 Amendment was determined to be a modification of the award and an adjustment related to the difference in fair value was recorded in fiscal 2013.  The related awards will vest in fiscal 2014.
 
On December 14, 2010, the Compensation Committee approved an amendment to the 2008 Performance Share Award Agreement under the 2006 Plan (the “2010 Amendment”).  The 2010 Amendment provides that the Company may, at the discretion of the Compensation Committee, settle grants pursuant to Performance Share Award Agreements either in (i) one share of common stock of the Company for each Performance Share (as defined in the 2006 Plan) earned or (ii) a lump sum cash payment equal to the Fair Market Value (as defined in the 2006 Plan) of one share of common stock of the Company for each Performance Share earned. The 2010 Amendment was determined to be a modification of the award and an adjustment related to the difference in fair value was recorded in fiscal 2010. The award, which impacts eight employees, was classified as a liability award and was marked to market.  On January 1, 2011, the fair value of these awards was based on the closing price of our common stock on December 31, 2010 of $3.66.  These awards were settled in cash on January 7, 2011.  Our restricted stock units were also settled in cash upon vesting and were considered liability awards.  Therefore, these are not included in the computation of the basic and diluted earnings per share.
 
The tables below summarize activity and include certain additional information related to our outstanding employee stock options for the three years ended January 4, 2014.  There have been no new employee stock option grants for the three years ended January 4, 2014.
                 
   
Shares
   
Weighted
Average
Exercise
Price
 
Options outstanding at January 1, 2011
    924,815     $ 6.31  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (19,499 )     12.53  
Options outstanding at December 31, 2011
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
           
Options outstanding at December 29, 2012
    905,316       6.18  
Options granted
           
Options exercised
           
Options forfeited
           
Options expired
    (120,816 )     13.58  
Options outstanding at January 4, 2014
    784,500       5.05  
Options exercisable at January 4, 2014
    784,500     $ 5.05  
 
                                                   
   
Outstanding
   
Exercisable  
 
 
 
 
Price Range
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
   
 
 
Number of
Options
   
Weighted
Average
Exercise
Price
   
 
Remaining
Contractual Life
(in Years)
 
$4.66
    750,000     $ 4.66       4.2       750,000     $ 4.66       4.2  
$11.40-$14.01
    34,500     $ 13.25       2.3       34,500     $ 13.25       2.3  
      784,500               4.1       784,500               4.1  
 
The following tables summarize activity for our performance shares, restricted stock awards and restricted stock unit awards during fiscal 2013, fiscal 2012 and fiscal 2011:
                                 
   
Restricted Stock
   
Performance
Shares
   
Restricted
Stock Units
 
         
Weighted
             
   
Number of
   
Average Fair
   
Number of
   
Number of
 
   
Awards
   
Value
   
Awards
   
Awards (1)
 
Outstanding at January 1, 2011(2)
    1,914,288       2.67       240,835       127,950  
Granted
    819,240       3.14              
Vested(2)
    (364,303 )     6.16       (240,835 )     (63,200 )
Forfeited
    (7,801 )     3.26             (15,400 )
Outstanding at December 31, 2011
    2,361,424       3.22             49,350  
Granted
    2,067,835       1.52              
Vested
    (681,484 )     3.39             (48,250 )
Forfeited
    (193,037 )     2.76             (1,100 )
Outstanding at December 29, 2012
    3,554,738        1.22              
Granted(3)
    1,202,185       3.15       2,969,424        
Vested(3)
    (2,587,452 )     2.48       (627,320 )      
Forfeited(3)
    (551,188 )     2.28       (149,236 )      
Outstanding at January 4, 2014(3)
    1,618,283     $  2.50       2,192,868        
 
 
(1)
The restricted stock units were settled in cash. The fair value of these awards was marked-to-market each reporting period through the date of settlement.  During fiscal 2012 and fiscal 2011, certain restricted stock units vested and approximately $0.1 million and $0.2 million, respectively, was paid out to settle these awards.
 
 
(2)
During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date.
 
 
(3)
The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested, and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55.
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Employee Benefits
12 Months Ended
Jan. 04, 2014
Employee Benefits [Abstract]  
Employee Benefits
8. Employee Benefits
 
Defined Benefit Pension Plans
 
Most of our hourly employees participate in noncontributory defined benefit pension plans, which include a plan that is administered solely by us (the “hourly pension plan”) and union-administered multiemployer plans. Our funding policy for the hourly pension plan is based on actuarial calculations and the applicable requirements of federal law.  We believe that each multiemployer pension plan is immaterial to our financial statements and that we represent an immaterial portion of the total contributions and future obligations of these plans. Contributions to multiemployer plans are generally based on negotiated labor contracts. We contributed $1.3 million, $1.3 million, and $1.2 million to union administered multiemployer pension plans for fiscal 2013, fiscal 2012, and fiscal 2011, respectively. Benefits under the majority of plans for hourly employees (including multiemployer plans) are primarily related to years of service.
 
The following tables set forth the change in projected benefit obligation and the change in plan assets for the hourly pension plan:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Change in projected benefit obligation:
           
Projected benefit obligation at beginning of period
  $ 114,330     $ 99,425  
Service cost
    2,193       1,878  
Interest cost
    4,750       4,885  
Actuarial (gain) loss
    (10,710 )     12,183  
Curtailment
    (910 )      
Benefits paid
    (4,729 )     (4,041 )
Projected benefit obligation at end of period
    104,924       114,330  
Change in plan assets:
               
Fair value of assets at beginning of period
    67,760       63,896  
Actual return on plan assets
    13,536       6,758  
Employer contributions
    472       1,147  
Benefits paid
    (4,729 )     (4,041 )
Fair value of assets at end of period
    77,039       67,760  
Net (unfunded) status of plan
  $ (27,885 )   $ (46,570 )
 
We recognize the unfunded status (i.e., the difference between the fair value of plan assets and the projected benefit obligations) of our pension plan in our Consolidated Balance Sheets, with a corresponding adjustment to accumulated other comprehensive loss, net of tax. During fiscal 2012 and fiscal 2011 this amount was offset by a valuation allowance. On January 4, 2014, we measured the fair value of our plan assets and benefit obligations. As of January 4, 2014, and December 29, 2012, the net unfunded status of our benefit plan was $27.9 million and $46.6 million, respectively. These amounts were included in “Other non-current liabilities” on our Consolidated Balance Sheets. The net adjustment to other comprehensive loss for fiscal 2013, fiscal 2012, and fiscal 2011 was a $13.9 million gain ($22.8 million gain, net of tax of $8.9 million), $8.2 million loss ($8.2 million loss, net of tax, offset by a valuation allowance), $15.0 million loss ($15.0 million loss, net of tax, offset by a valuation allowance), respectively, which represents the net unrecognized actuarial gain (loss) and unrecognized prior service cost.
 
The decrease in the unfunded obligation for the period was approximately $18.7 million and was comprised of $10.7 million of actuarial gains, $13.5 million of asset returns, a decrease of $0.9 million to the liability related to freezing our non-union pension plan and $0.5 million of pension contributions.  These changes were offset by an increase in the projected benefit obligation of $6.9 million due to current year service and interest cost.  The main driver of the decrease in the liability related to the actuarial (gain) loss was the change in the underlying discount rate assumption which increased from 4.24% in fiscal 2012 to 5.00% in fiscal 2013.   The net periodic pension costs also increased to $4.6 million in fiscal 2013 from $3.9 million in fiscal 2012 and was primarily driven by an increase in the amortization of the actuarial loss attributable to the decrease in the discount rate from 5.02% in fiscal 2011 to 4.24% in 2012.
 
The freeze of the non-union pension plan resulted in a reduction in future years of service for the active participants in the plan, which triggered a curtailment.  An immaterial amount of unrecognized prior service costs were recognized in the Consolidated Statements of Operations and Comprehensive Loss during fiscal 2013 as a result of this event.  In addition, there was a curtailment gain from the event which resulted in a decrease to the projected benefit obligation of $0.9 million.
 
The unfunded status and the amounts recognized on our Consolidated Balance Sheets for the hourly pension plan are set forth in the following table:
                 
   
January 4,
2014
   
December 29,
2012
 
   
(In thousands)
 
Unfunded status                                                                                                                            
  $ (27,885 )   $ (46,570 )
Unrecognized prior service cost
    1       2  
Unrecognized actuarial loss
    14,656       37,459  
Net amount recognized
  $ (13,228 )   $ (9,109 )
Amounts recognized on the balance sheet consist of:
               
Accrued pension liability
    (27,885 )     (46,570 )
Accumulated other comprehensive loss (pre-tax)
    14,657       37,461  
Net amount recognized
  $ (13,228 )   $ (9,109 )
 
The portion of estimated net loss for the hourly pension plan that is expected to be amortized from accumulated other comprehensive loss into net periodic cost over the next fiscal year is $0.8 million. The expected amortization of prior service cost recognized into net periodic cost over the next fiscal year is immaterial.
 
The accumulated benefit obligation for the hourly pension plan was $103.7 million and $111.1 million at January 4, 2014, and December 29, 2012, respectively.
 
Net periodic pension cost for our pension plans included the following:
                         
   
Fiscal Year Ended
January 4,
2014
   
Fiscal Year Ended
December 29,
2012
   
Fiscal Year Ended
December 31,
2011
 
   
(In thousands)
 
Service cost                                                                                              
  $ 2,193     $ 1,878     $ 2,091  
Interest cost on projected benefit obligation
    4,750       4,885       4,609  
Expected return on plan assets
    (5,225 )     (4,897 )     (5,505 )
Amortization of unrecognized loss
    2,873       2,077       579  
Amortization of unrecognized prior service cost
                 
Net periodic pension cost
  $ 4,591     $ 3,943     $ 1,774  
 
The following assumptions were used to determine the projected benefit obligation at the measurement date and the net periodic pension cost:
                 
   
January 4,
2014
 
December 29,
2012
Projected benefit obligation:
           
Discount rate
    5.00 %     4.24 %
Average rate of increase in future compensation levels
 
Graded 5.5%-2.5
    3.00 %
Net periodic pension cost
               
Discount rate
    4.24 %     5.02 %
Average rate of increase in future compensation levels
    3.00 %     3.00 %
Expected long-term rate of return on plan assets
    7.85 %     7.85 %
 
Our estimates of the amount and timing of our future funding obligations for our defined benefit pension plans are based upon various assumptions specified above. These assumptions include, but are not limited to, the discount rate, projected return on plan assets, compensation increase rates, mortality rates, retirement patterns, and turnover rates.
 
As indicated in the table above, we used a discount rate of 5.00% to compute the projected benefit obligation, which was determined by the matching of plan liability cash flows to a portfolio of bonds.  A change in the discount rate of 25 basis points, from 5.00% to 5.25%, while holding all other assumptions constant, would have resulted in a reduction in the Company’s projected benefit obligation of approximately $3.1 million in 2013.
 
As indicated in the table above, we used an estimated rate of future compensation increases of graded 5.5% - 2.5% to compute the projected benefit obligation.  A change in the rate of 25 basis points, from graded 5.5% - 2.5% to graded 5.75% - 2.75%, while holding all other assumptions constant, would have resulted in an increase in the Company’s projected benefit obligation of less than $0.1 million in 2013.
 
Determination of expected long-term rate of return
 
In developing expected return assumptions for our pension plan, the most influential decision affecting long-term portfolio performance is the determination of overall asset allocation. An asset class is a group of securities that exhibit similar characteristics and behave similarly in the marketplace. The three main asset classes are equities, fixed income, and cash equivalents.
 
Upon calculation of the historical risk premium for each asset class, an expected rate of return can be established based on assumed 90-day Treasury bill rates. Based on the normal asset allocation structure of the portfolio (65% equities, 30% fixed income, and 5% other) with historical compound annualized risk free rate of 3.78%, the expected overall portfolio return is 8.35% offset by 0.5% expense estimate resulting in a 7.85% net long term rate of return as of January 4, 2014.
 
Our percentage of fair value of total assets by asset category as of our measurement date is as follows:
                   
Asset Category
 
 
January 4,
2014
   
December 29,
2012
 
Equity securities — domestic                                                                                                                            
    55 %     56 %
Equity securities — international
    16 %     9 %
Fixed income
    24 %     31 %
Other
    5 %     4 %
Total
    100 %     100 %
 
The fair value of our plan assets by asset category as of January 4, 2014 was as follows (in thousands):
           
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 42,710  
Equity securities — international
    12,067  
Fixed income
    18,836  
Other
    3,426  
Total
  $ 77,039  
 
The fair value of our plan assets by asset category as of December 29, 2012 was as follows (in thousands):
           
Asset Category
 
 
Level 1
 
Equity securities — domestic                                                                                                                                                 
  $ 37,623  
Equity securities — international
    6,304  
Fixed income
    20,848  
Other
    2,985  
Total
  $ 67,760  
 
The plan assets are valued using quoted market prices in active markets and we consider the investments to be Level 1 in the fair value hierarchy.  See Note 13 for a discussion of the levels of inputs to determine fair value.
 
Investment policy and strategy
 
Plan assets are managed as a balanced portfolio comprised of two major components: an equity portion and a fixed income portion. The expected role of plan equity investments will be to maximize the long-term real growth of fund assets, while the role of fixed income investments will be to generate current income, provide for more stable periodic returns, and provide some downside protection against the possibility of a prolonged decline in the market value of equity investments. We review this investment policy statement at least once per year. In addition, the portfolio will be reviewed quarterly to determine the deviation from target weightings and will be rebalanced as necessary. Target allocations for fiscal 2014 are 50% domestic and 15% international equity investments, 30% fixed income investments, and 5% cash. The expected long-term rate of return for the plan’s total assets is based on the expected return of each of the above categories, weighted based on the target allocation for each class.
 
Our estimated future benefit payments reflecting expected future service are as follows (in thousands):
           
Fiscal Year Ending
   
(In thousands)
 
January 3, 2015
    4,998  
January 2, 2016
    5,332  
December 31, 2016
    5,641  
December 30, 2017
    5,914  
December 29, 2018
    6,206  
Thereafter
    34,372  
 
The Company’s minimum required contribution for plan year 2012 was $3.2 million.  In an effort to preserve additional cash for operations, we applied for a waiver from the Internal Revenue Service (“IRS”) for our 2012 minimum required contribution.  Although the Company’s outside counsel has been notified by the IRS that its waiver request has been preliminarily approved and that the IRS is in the process of finalizing the waiver request, no assurances can be provided that the waiver request will be granted until the Company receives final approval from the IRS.  If we are granted the requested waiver, our contributions for 2012 will be amortized over the following five years, increasing our future minimum required contributions. 
 
The Company’s minimum required contribution for plan year 2013 was estimated to be $6.0 million, assuming we receive the requested waiver.   During the second quarter of fiscal 2013, we contributed certain qualifying employer real property to the hourly pension plan. The properties, including certain land and buildings, are located in Charleston, S.C. and Buffalo, N.Y., and were valued at approximately $6.8 million by independent appraisals prior to the contribution.  The contribution was recorded by the hourly pension plan at the fair market value of $6.8 million.  We are leasing back the contributed properties for an initial term of twenty years with two five-year extension options and continue to use the properties in our distribution operations.  Each lease provides us a right of first refusal on any subsequent sale by the hourly pension plan and a repurchase option.  The hourly pension plan engaged an independent fiduciary who evaluated the transaction on behalf of the hourly pension plan, negotiated the terms of the property contribution and the leases, and also manages the properties on behalf of the hourly pension plan.  Depending on whether the 2012 waiver is granted, portions of the property contribution may be designated to either the 2012 or 2013 plan year.  If the waiver is not granted, it may be necessary to contribute an additional $2.2 million on or before September 15, 2014 to fully satisfy the 2012 and 2013 minimum required contributions.
 
We determined that the contribution of the properties does not meet the accounting definition of a plan asset within the scope of relevant accounting guidance.  Accordingly, the contributed properties are not considered a contribution for financial reporting purposes and, as a result, are not included in plan assets and have no impact on the net pension liability recorded on our Consolidated Balance Sheets.  We continue to depreciate the carrying value of the properties in our financial statements, and no gain or loss was recognized at the contribution date for financial reporting purposes.  Rent payments will be made on a monthly basis and will be recorded as contributions to the hourly pension plan, of which $0.5 million has been recorded as of January 4, 2014.  These rental payments will reduce our unfunded obligation to the hourly pension plan.
 
We currently are required to make three quarterly cash contributions during fiscal 2014 of $1.5 million each related to our 2014 minimum required contribution.
 
Defined Contribution Plans
 
Our employees also participate in several defined contribution plans. Contributions to the plans are based on employee contributions and compensation. Contributions to the hourly defined contribution plan totaled $0.1 million, $0.1 million, and $0.1 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively. During fiscal 2009, we suspended the Company matching contributions to our defined salaried contribution plan as part of our cost reduction initiatives.  The Company match was reinstated on January 1, 2012. Contributions to the salaried defined contribution plan totaled $1.1 million and $1.0 million for fiscal 2013 and fiscal 2012, respectively.
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Revolving Credit Facilities
12 Months Ended
Jan. 04, 2014
Revolving Credit Facilities [Abstract]  
Revolving Credit Facilities
10. Revolving Credit Facilities
 
We have our U.S. revolving credit facility agreement (the “U.S. revolving credit facility”) with Wells Fargo Bank, National Association, successor by merger to Wachovia Bank, National Association, dated August 4, 2006, as amended.  The U.S. revolving credit facility has a final maturity of April 15, 2016 and maximum available credit of $447.5 million.  The U.S. revolving credit facility also includes an additional $75 million uncommitted accordion credit facility, which permits us to increase the maximum available credit up to $522.5 million.
 
On June 28, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted.  The most significant of the changes included in the amendment is the addition of PNC Bank, National Association (“PNC”) as a lender and their additional loan commitment of $25.0 million, which increased the maximum availability of the U.S. revolving credit facility to $447.5 million.  The new terms of this amended agreement are described in this footnote.  In conjunction with this amendment, we incurred $0.1 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 29, 2013, we entered into an amendment to our U.S. revolving credit facility, which became effective on that date and pursuant to which certain components of the borrowing base calculation and excess liquidity calculation were adjusted.  The most significant of the changes included in the amendment are extending the final maturity of the U.S. revolving credit facility, increasing the maximum available credit under the facility and adjusting the excess availability threshold calculation.  In conjunction with this amendment, we incurred $2.8 million of debt fees that were capitalized and are being amortized over the amended debt term.
 
On March 27, 2013, we concluded the 2013 Rights Offering. The 2013 Rights Offering was fully subscribed and resulted in net proceeds of approximately $38.6 million. Remaining expenses to be paid related to the 2013 Rights Offering as of January 4, 2014 totaled $0.1 million. We issued 22.9 million shares of stock to our stockholders in conjunction with the 2013 Rights Offering.
 
On July 22, 2011, we concluded an offering of our common stock to our stockholders (the “2011 Rights Offering”).  The 2011 Rights Offering was fully subscribed and resulted in net proceeds of approximately $58.0 million.  We issued 28.6 million shares of stock to our stockholders in conjunction with the 2011 Rights Offering.
 
As of January 4, 2014, we had outstanding borrowings of $207.9 million and excess availability of $44.5 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 3.7% at January 4, 2014.   As of December 29, 2012, we had outstanding borrowings of $169.5 million and excess availability of $86.0 million under the terms of our U.S. revolving credit facility.  The interest rate on the U.S. revolving credit facility was 4.1% at December 29, 2012.  As of January 4, 2014 and December 29, 2012, we had outstanding letters of credit totaling $3.6 million and $4.5 million, respectively, for the purposes of securing collateral requirements under casualty insurance programs and for guaranteeing lease and certain other obligations. The $3.6 million in outstanding letters of credit as of January 4, 2014 does not include an additional $1.5 million fully collateralized letter of credit securing certain insurance obligations that was issued outside of the U.S. revolving credit facility.
 
As of January 4, 2014, our U.S. revolving credit facility, as amended, contains customary negative covenants and restrictions for asset based loans, including a requirement that we maintain a fixed charge coverage ratio of 1.1 to 1.0 in the event our excess availability falls below the greater of $31.8 million or the amount equal to 12.5% of the lesser of the borrowing base or $447.5 million (the “Excess Availability Threshold”).  The fixed charge coverage ratio is calculated as EBITDA divided by the sum of cash payments for income taxes, interest expense, cash dividends, principal payments on debt, and capital expenditures.  EBITDA is defined as BlueLinx Corporation’s net income before interest and tax expense, depreciation and amortization expense, and other non-cash charges.  The fixed charge coverage ratio requirement only applies to us when excess availability under our amended U.S. revolving credit facility is less than the Excess Availability Threshold on any date. As of January 4, 2014 and through the time of the filing of this Form 10-K, we were in compliance with all covenants under the U.S. revolving credit facility.  We are required to maintain the Excess Availability Threshold in order to avoid being required to meet certain financial ratios and triggering additional limits on capital expenditures.  Our lowest level of fiscal month-end availability in the last three years as of January 4, 2014 was $44.5 million, which is the excess availability as of that date.  We do not anticipate our excess availability in fiscal 2014 will drop below the Excess Availability Threshold.  Should our excess availability fall below the Excess Availability Threshold on any date, however, we would not meet the required fixed charge coverage ratio covenant with our current operating results.
 
 In the event that excess availability falls below $37.1 million or the amount equal to 15% of the lesser of the borrowing base or $447.5 million, the U.S. revolving credit facility gives the lenders the right to dominion of our bank accounts.  This would not make the underlying debt callable by the lender and may not change our ability to borrow on the U.S. revolving credit facility.  However, we would be required to reclassify the “Long-term debt” to “Current maturities of long-term debt” on our Consolidated Balance Sheet.  In addition, we would be required to maintain a springing lock-box arrangement where customer remittances go directly to a lock-box maintained by our lenders and then are forwarded to our general bank accounts.  Our outstanding borrowings are not reduced by these payments unless our excess availability falls below the greater of $35 million or the amount equal to 15% of the lesser of the borrowing base or $400 million on any date or in the event of default.  Our amended U.S. revolving credit facility does not contain a subjective acceleration clause, which would allow our lenders to accelerate the scheduled maturities of our debt or to cancel our agreement.
 
On August 16, 2013, we entered into an amendment to our Canadian revolving credit facility (the “Canadian revolving credit facility”), which became effective on that date.  The Amendment modifies the maturity date under the Credit Agreement to the earlier of (i) August 12, 2016 or the (ii) maturity date of the U.S. revolving credit facility.  All other terms of the Canadian revolving credit facility remain the same.
 
As of January 4, 2014, we had outstanding borrowings of $3.3 million and excess availability of $1.3 million under the terms of our Canadian revolving credit facility.  As of December 29, 2012, we had outstanding borrowings of $1.9 million and excess availability of $2.0 million under the terms of our Canadian revolving credit facility.  The interest rate on the Canadian revolving credit facility was 4.0% at January 4, 2014 and December 29, 2012.  The Canadian revolving credit facility contains customary covenants and events of default for asset-based credit agreements of this type, including the requirement for BlueLinx Canada to maintain a minimum adjusted tangible net worth of $3.9 million and for that entity’s capital expenditures not to exceed 120% of the amount budgeted in a given year.  As of January 4, 2014 and through the time of the filing of this Form 10-K, we were in compliance with all covenants under this facility
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Employee Benefits (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Change in projected benefit obligation:      
Projected benefit obligation at beginning of period $ 114,330 $ 99,425  
Service cost 2,193 1,878 2,091
Interest cost 4,750 4,885 4,609
Actuarial (gain) loss (10,710) 12,183  
Curtailment (910)     
Benefits paid (4,729) (4,041)  
Projected benefit obligation at end of period 104,924 114,330 99,425
Change in plan assets:      
Fair value of assets at beginning of period 67,760 63,896  
Actual return on plan assets 13,536 6,758  
Employer contributions 472 1,147  
Benefits paid (4,729) (4,041)  
Fair value of assets at end of period 77,039 67,760 63,896
Net (unfunded) status of plan $ (27,885) $ (46,570)  
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Accumulated Other Comprehensive Loss (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance $ (30,042) $ (21,900) $ (7,358)
Other comprehensive loss (income) before reclassification, net of tax (161)    
Amounts reclassified from accumulated other comprehensive loss, net of tax 13,910    
Current-period other comprehensive (loss) income, net of tax 13,749 (8,142) (14,542)
Ending balance, net of tax (16,293) (30,042) (21,900)
Foreign currency, net of tax
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance 1,797 1,694 1,786
Other comprehensive loss (income) before reclassification, net of tax (161)    
Amounts reclassified from accumulated other comprehensive loss, net of tax       
Current-period other comprehensive (loss) income, net of tax (161) 103 (92)
Ending balance, net of tax 1,636 1,797 1,694
Defined benefit pension plan, net of tax
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance (32,051) (23,806) (8,837)
Other comprehensive loss (income) before reclassification, net of tax       
Amounts reclassified from accumulated other comprehensive loss, net of tax 13,910    
Current-period other comprehensive (loss) income, net of tax 13,910 (8,245) (14,969)
Ending balance, net of tax (18,141) (32,051) (23,806)
Other, net of tax
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance 212 212 (307)
Other comprehensive loss (income) before reclassification, net of tax       
Amounts reclassified from accumulated other comprehensive loss, net of tax       
Current-period other comprehensive (loss) income, net of tax       519
Ending balance, net of tax $ 212 $ 212 $ 212
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Employee Benefits (Details 2) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Net periodic pension cost      
Service cost $ 2,193 $ 1,878 $ 2,091
Interest cost on projected benefit obligation 4,750 4,885 4,609
Expected return on plan assets (5,225) (4,897) (5,505)
Amortization of unrecognized loss 2,873 2,077 579
Amortization of unrecognized prior service cost         
Net periodic pension cost $ 4,591 $ 3,943 $ 1,774
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Stock-Based Compensation (Detail Textuals) (USD $)
12 Months Ended 12 Months Ended 12 Months Ended
Jan. 04, 2014
Jan. 04, 2014
Stock-Based Compensation Expense
Dec. 29, 2012
Stock-Based Compensation Expense
Dec. 31, 2011
Stock-Based Compensation Expense
Jan. 04, 2014
Stock-Based Compensation Expense
Maximum
Jan. 04, 2014
Restricted Stock
Dec. 29, 2012
Restricted Stock
Dec. 31, 2011
Restricted Stock
Jan. 01, 2011
Restricted Stock
Jan. 04, 2014
Restricted Stock
Minimum
Jan. 04, 2014
Restricted Stock
Maximum
Jan. 04, 2014
Performance Shares
Dec. 31, 2011
Performance Shares
Jan. 04, 2014
Performance Shares
Minimum
Jan. 04, 2014
Performance Shares
Maximum
Dec. 29, 2012
Restricted Stock Units (RSUs)
Dec. 31, 2011
Restricted Stock Units (RSUs)
Jan. 04, 2014
Long term equity incentive plan 2004
Stock-Based Compensation Expense
Jan. 04, 2014
Long term equity incentive plan 2006
Stock-Based Compensation Expense
Jan. 04, 2014
Long term equity incentive plan 2006
Restricted Stock
Jan. 04, 2014
Long term equity incentive plan 2006
Restricted Stock
Officers and directors
Jan. 04, 2014
Long term equity incentive plan 2006
Restricted Stock
Other executives
Dec. 31, 2010
Long term equity incentive plan 2006
Performance share award 2008
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]                                              
Number of shares reserved for issuance                                   2,222,222 12,200,000        
Number of restricted stock issued during period                                         1,202,185    
Total unrecognized compensation expense           $ 1,400,000 $ 2,500,000         $ 4,400,000                      
Weighted average term for compensation expense to be recognized           1 year 4 months 24 days           1 year 6 months                      
Weighted average remaining contractual term   4 years 1 month 6 days 4 years 10 months 24 days   10 years 1 year 2 months 12 days 1 year 4 months 24 days     1 year 3 years 1 year 2 months 12 days   1 year 3 years                
Stock-based compensation expense   6,100,000 2,800,000 2,000,000                                      
Income tax benefits offset by a valuation allowance   2,400,000 1,100,000 800,000                                      
Share based compensation related to 2013 restructuring and change in executive leadership   2,900,000                                          
Total fair value of options vested       700,000                                      
Total fair value of vested stocks           6,400,000 2,300,000 2,200,000       1,500,000       100,000 200,000            
Benefits of tax deductions in excess of recognized compensation expense 16,000                                            
Closing price of common stock                                             $ 3.66
Number of restricted shares vested                       627,320               2,587,452 1,081,071 378,629  
Number of performance shares awarded                       2,969,424                      
Amount paid settle share based awards                         $ 900,000                    
Weighted average fair value of shares granted           $ 3.15 [1] $ 1.52 $ 3.14       $ 2.95                      
Weighted average fair value of shares vested           $ 2.48 [1] $ 3.39 $ 6.16 [2]       $ 2.36                      
Weighted average fair value of shares forfeited           $ 2.28 [1] $ 2.76 $ 3.26       $ 3.13                      
Weighted average fair value of shares outstanding           $ 2.50 [1] $ 1.22 $ 3.22 $ 2.67 [2]     $ 2.55                      
[1] The performance shares granted in 2013 will be settled in shares of common stock of the Company. The weighted average fair value for performance shares granted, vested and forfeited was $2.95, $2.36, and $3.13, respectively. The weighted average fair value for performance shares outstanding as of January 4, 2014 is $2.55.
[2] During fiscal 2011 certain performance shares vested and approximately $0.9 million was paid out to settle these awards. The fair value of these shares was marked to market each reporting period through the settlement date.
XML 96 R92.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Condensed Consolidating Financial Statements (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Cash flows from operating activities:                      
Net (loss) income $ (2,457) [1] $ (3,206) [2] $ (22,306) [3] $ (12,649) [4] $ (11,370) [5] $ 3,068 [6] $ (3,706) [7] $ (11,019) [8] $ (40,618) $ (23,027) $ (38,567)
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                      
Depreciation and amortization 2,571 [1] 2,144 [2] 2,229 [3] 2,173 [4] 2,012 [5] 2,106 [6] 2,187 [7] 2,260 [8] 9,117 8,565 10,562
Amortization of debt issue costs                 3,184 3,746 2,940
Write-off of debt issuance costs          119             119    
Loss (gain) from sale of properties (1,311) [1] (3,679) [2]    [3] (230) [4] (204) [5] (9,151) [6] 48 [7] (578) [8] (5,220) (9,885) (10,604)
Gain from property insurance settlement    [1]    [2]    [3]    [4]    [5]    [6] (476) [7]    [8]   (476) (1,230)
Changes associated with the ineffective interest rate swap                     (1,676)
Vacant property charges, net                 1,321 (30) (291)
Severance charges                 5,607    
Gain on modification of lease agreement                              (1,971)
Payments on modification on lease agreement                 (300) (5,875)  
Deferred income tax benefit                 (5) (20) (25)
Intraperiod income tax allocation related to hourly pension plan                 (8,894)    
Pension expense                 4,591 3,942 1,774
Share-based compensation, excluding restructuring related                 3,222 2,797 1,974
Share-based compensation, restructuring related                 2,895    
Increase in restricted cash related to insurance and other                 (1,810) 695 987
Accrued compensation and other                 (9,152) (657) (3,181)
Equity (deficit) in earnings of subsidiaries                         
Intercompany receivable                         
Intercompany payable                         
Adjustments to reconcile net loss to cash used in operations, Total                 (35,943) (20,225) (39,308)
Changes in primary working capital components:                      
Receivables                 7,168 (18,593) (19,670)
Inventories                 6,479 (44,482) 2,673
Accounts payable                 (17,585) 9,050 5,973
Net cash (used in) provided by operating activities                 (39,881) (74,250) (50,332)
Cash flows from investing activities:                      
Investment in subsidiaries                         
Property, plant and equipment investments                 (4,912) (2,826) (6,533)
Proceeds from disposition of assets                 10,365 19,195 18,355
Net cash provided by (used in) investing activities                 5,453 16,369 11,822
Cash flows from financing activities:                      
Excess tax benefits from share-based compensation arrangements                 16    
Repurchase of shares to satisfy employee tax withholdings                 (3,192) (526)  
Repayments on revolving credit facilities                 (560,186) (473,349) (478,630)
Borrowings from revolving credit facilities                 599,968 550,270 475,918
Payments of principal on mortgage                 (19,038) (37,272) (42,416)
Payments on capital lease obligations                 (3,142) (2,259) (1,440)
(Decrease) increase in bank overdrafts                 (16,007) 13,020 (725)
Increase (decrease) in restricted cash related to the mortgage                 40 9,970 20,604
Proceeds from rights/stock offering, less expenses paid                 38,715   58,521
Debt financing costs                 (2,900) (1,683) (2,721)
Net cash provided by (used in) financing activities                 34,274 58,171 29,111
Increase (decrease) in cash                 (154) 290 (9,399)
Cash and cash equivalents balance, beginning of period               4,898 5,188 4,898 14,297
Cash and cash equivalents balance, end of period 5,034       5,188       5,034 5,188 4,898
Supplemental cash flow information:                      
Net income tax refunds (income taxes paid) during the period                 (332) (508) (22)
Interest paid during the period                 24,706 24,288 28,098
Noncash transactions:                      
Capital leases                 5,069 5,238 3,131
BlueLinx Holdings
                     
Cash flows from operating activities:                      
Net (loss) income                 (40,618) (23,027) (38,567)
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                      
Depreciation and amortization                         
Amortization of debt issue costs                         
Write-off of debt issuance costs                         
Loss (gain) from sale of properties                         
Gain from property insurance settlement                        
Changes associated with the ineffective interest rate swap                       
Vacant property charges, net                         
Severance charges                         
Gain on modification of lease agreement                       
Payments on modification on lease agreement                        
Deferred income tax benefit                         
Intraperiod income tax allocation related to hourly pension plan                       
Pension expense                         
Share-based compensation, excluding restructuring related                 904 528   
Share-based compensation, restructuring related                       
Increase in restricted cash related to insurance and other                         
Accrued compensation and other                 684 (971) 167
Equity (deficit) in earnings of subsidiaries                 34,862 18,701 34,380
Intercompany receivable                 5,527 (6,940) (9,829)
Intercompany payable                 (2,440) 10,332 9,218
Adjustments to reconcile net loss to cash used in operations, Total                 (1,081) (1,377) (4,631)
Changes in primary working capital components:                      
Receivables                         
Inventories                         
Accounts payable                 779 42 102
Net cash (used in) provided by operating activities                 (302) (1,335) (4,529)
Cash flows from investing activities:                      
Investment in subsidiaries                 (35,202) 1,862 (54,349)
Property, plant and equipment investments                         
Proceeds from disposition of assets                         
Net cash provided by (used in) investing activities                 (35,202) 1,862 (54,349)
Cash flows from financing activities:                      
Excess tax benefits from share-based compensation arrangements                         
Repurchase of shares to satisfy employee tax withholdings                 (3,192) (526)  
Repayments on revolving credit facilities                         
Borrowings from revolving credit facilities                         
Payments of principal on mortgage                         
Payments on capital lease obligations                         
(Decrease) increase in bank overdrafts                         
Increase (decrease) in restricted cash related to the mortgage                         
Proceeds from rights/stock offering, less expenses paid                 38,715   58,521
Debt financing costs                         
Net cash provided by (used in) financing activities                 35,523 (526) 58,521
Increase (decrease) in cash                 19 1 (357)
Cash and cash equivalents balance, beginning of period               27 28 27 384
Cash and cash equivalents balance, end of period 47       28       47 28 27
Supplemental cash flow information:                      
Net income tax refunds (income taxes paid) during the period                         
Interest paid during the period                 13,480      
Noncash transactions:                      
Capital leases                         
BlueLinx Corporation
                     
Cash flows from operating activities:                      
Net (loss) income                 (49,205) (37,237) (52,910)
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                      
Depreciation and amortization                 5,700 5,040 6,790
Amortization of debt issue costs                 1,841 2,471 1,983
Write-off of debt issuance costs                 119      
Loss (gain) from sale of properties                 554      
Gain from property insurance settlement                        
Changes associated with the ineffective interest rate swap                     (1,676)
Vacant property charges, net                 1,321 (30) (291)
Severance charges                 5,607      
Gain on modification of lease agreement                     (1,971)
Payments on modification on lease agreement                 (300) (5,875)  
Deferred income tax benefit                 (5) (20) (25)
Intraperiod income tax allocation related to hourly pension plan                 (8,894)    
Pension expense                 4,591 3,942 1,774
Share-based compensation, excluding restructuring related                 2,318 2,269 1,602
Share-based compensation, restructuring related                 2,895    
Increase in restricted cash related to insurance and other                 (1,810) 695 987
Accrued compensation and other                 (10,064) 875   
Equity (deficit) in earnings of subsidiaries                         
Intercompany receivable                 2,440 (10,332) (9,727)
Intercompany payable                 (5,527) 6,940 9,094
Adjustments to reconcile net loss to cash used in operations, Total                 (48,419) (31,262) (44,370)
Changes in primary working capital components:                      
Receivables                 7,168 (18,593) (19,670)
Inventories                 6,479 (44,482) 2,673
Accounts payable                 (17,973) 8,619 5,871
Net cash (used in) provided by operating activities                 (52,745) (85,718) (55,496)
Cash flows from investing activities:                      
Investment in subsidiaries                 38,663 154 55,209
Property, plant and equipment investments                 (4,912) (2,826) (3,203)
Proceeds from disposition of assets                 1,072 997 504
Net cash provided by (used in) investing activities                 34,823 (1,675) 52,510
Cash flows from financing activities:                      
Excess tax benefits from share-based compensation arrangements                 16      
Repurchase of shares to satisfy employee tax withholdings                        
Repayments on revolving credit facilities                 (560,186) (473,349) (478,630)
Borrowings from revolving credit facilities                 599,968 550,270 475,918
Payments of principal on mortgage                         
Payments on capital lease obligations                 (3,142) (2,259) (1,440)
(Decrease) increase in bank overdrafts                 (16,007) 13,020 (725)
Increase (decrease) in restricted cash related to the mortgage                         
Proceeds from rights/stock offering, less expenses paid                        
Debt financing costs                 (2,900)    (1,179)
Net cash provided by (used in) financing activities                 17,749 87,682 (6,056)
Increase (decrease) in cash                 (173) 289 (9,042)
Cash and cash equivalents balance, beginning of period               4,871 5,160 4,871 13,913
Cash and cash equivalents balance, end of period 4,987       5,160       4,987 5,160 4,871
Supplemental cash flow information:                      
Net income tax refunds (income taxes paid) during the period                 (61) 37 231
Interest paid during the period                 11,226 9,309 10,783
Noncash transactions:                      
Capital leases                 5,069 5,238 3,131
LLC Subsidiaries
                     
Cash flows from operating activities:                      
Net (loss) income                 14,343 18,536 18,530
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                      
Depreciation and amortization                 3,417 3,525 3,772
Amortization of debt issue costs                 1,343 1,275 957
Write-off of debt issuance costs                         
Loss (gain) from sale of properties                 (5,774) (9,885) (10,604)
Gain from property insurance settlement                   (476) (1,230)
Changes associated with the ineffective interest rate swap                       
Vacant property charges, net                         
Severance charges                         
Gain on modification of lease agreement                       
Payments on modification on lease agreement                        
Deferred income tax benefit                 (397)      
Intraperiod income tax allocation related to hourly pension plan                       
Pension expense                         
Share-based compensation, excluding restructuring related                       372
Share-based compensation, restructuring related                       
Increase in restricted cash related to insurance and other                         
Accrued compensation and other                 625 (561) (2,104)
Equity (deficit) in earnings of subsidiaries                         
Intercompany receivable                         
Intercompany payable                         
Adjustments to reconcile net loss to cash used in operations, Total                 13,557 12,414 9,693
Changes in primary working capital components:                      
Receivables                         
Inventories                         
Accounts payable                 (391) 389   
Net cash (used in) provided by operating activities                 13,166 12,803 9,693
Cash flows from investing activities:                      
Investment in subsidiaries                 (3,461) (2,016) (860)
Property, plant and equipment investments                       (3,330)
Proceeds from disposition of assets                 9,293 18,198 17,851
Net cash provided by (used in) investing activities                 5,832 16,182 13,661
Cash flows from financing activities:                      
Excess tax benefits from share-based compensation arrangements                         
Repurchase of shares to satisfy employee tax withholdings                        
Repayments on revolving credit facilities                         
Borrowings from revolving credit facilities                         
Payments of principal on mortgage                 (19,038) (37,272) (42,416)
Payments on capital lease obligations                         
(Decrease) increase in bank overdrafts                         
Increase (decrease) in restricted cash related to the mortgage                 40 9,970 20,604
Proceeds from rights/stock offering, less expenses paid                        
Debt financing costs                    (1,683) (1,542)
Net cash provided by (used in) financing activities                 (18,998) (28,985) (23,354)
Increase (decrease) in cash                         
Cash and cash equivalents balance, beginning of period                          
Cash and cash equivalents balance, end of period                           
Supplemental cash flow information:                      
Net income tax refunds (income taxes paid) during the period                 (271) (545) (253)
Interest paid during the period                    14,979 17,315
Noncash transactions:                      
Capital leases                         
Eliminations
                     
Cash flows from operating activities:                      
Net (loss) income                 34,862 18,701 34,380
Adjustments to reconcile net (loss) income to cash (used in) provided by operating activities:                      
Depreciation and amortization                         
Amortization of debt issue costs                         
Write-off of debt issuance costs                         
Loss (gain) from sale of properties                         
Gain from property insurance settlement                        
Changes associated with the ineffective interest rate swap                       
Vacant property charges, net                         
Severance charges                         
Gain on modification of lease agreement                       
Payments on modification on lease agreement                        
Deferred income tax benefit                 397      
Intraperiod income tax allocation related to hourly pension plan                       
Pension expense                         
Share-based compensation, excluding restructuring related                         
Share-based compensation, restructuring related                       
Increase in restricted cash related to insurance and other                         
Accrued compensation and other                 (397)    (1,244)
Equity (deficit) in earnings of subsidiaries                 (34,862) (18,701) (34,380)
Intercompany receivable                 (7,967) 17,272 19,556
Intercompany payable                 7,967 (17,272) (18,312)
Adjustments to reconcile net loss to cash used in operations, Total                        
Changes in primary working capital components:                      
Receivables                         
Inventories                         
Accounts payable                         
Net cash (used in) provided by operating activities                         
Cash flows from investing activities:                      
Investment in subsidiaries                         
Property, plant and equipment investments                         
Proceeds from disposition of assets                         
Net cash provided by (used in) investing activities                         
Cash flows from financing activities:                      
Excess tax benefits from share-based compensation arrangements                         
Repurchase of shares to satisfy employee tax withholdings                        
Repayments on revolving credit facilities                         
Borrowings from revolving credit facilities                         
Payments of principal on mortgage                         
Payments on capital lease obligations                         
(Decrease) increase in bank overdrafts                         
Increase (decrease) in restricted cash related to the mortgage                         
Proceeds from rights/stock offering, less expenses paid                        
Debt financing costs                         
Net cash provided by (used in) financing activities                         
Increase (decrease) in cash                         
Cash and cash equivalents balance, beginning of period                          
Cash and cash equivalents balance, end of period                           
Supplemental cash flow information:                      
Net income tax refunds (income taxes paid) during the period                         
Interest paid during the period                         
Noncash transactions:                      
Capital leases                         
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
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Inventory Reserve Accounts (Tables)
12 Months Ended
Jan. 04, 2014
Inventory Reserve Accounts [Abstract]  
Schedule of inventory reserve accounts
 
   
Beginning
Balance
   
Expense
   
Write-offs and
Other, net
   
Ending
Balance
 
Fiscal 2011
                       
Obsolescence/damaged inventory reserve
  $ 1,670     $ 2,309     $ (2,487 )   $ 1,492  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2012
                               
Obsolescence/damaged inventory reserve
  $ 1,492     $ 3,625     $ (3,991 )   $ 1,126  
Lower of cost or market reserve
  $     $     $     $  
Fiscal 2013
                               
Obsolescence/damaged inventory reserve
  $ 1,126     $ 4,783     $ (4,111 )   $ 1,798  
Lower of cost or market reserve
  $     $ 3,843     $ (3,843 )   $  
 
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Income Taxes (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Federal income taxes:                      
Current                 $ (492) $ 16 $ (89)
Deferred                 (7,385)      
State income taxes:                      
Current                 192 334 759
Deferred                 (1,343)      
Foreign income taxes:                      
Current                 19 56 317
Deferred                 (4) (20) (25)
(Benefit from) provision for income taxes $ (12,491) [1] $ (2,134) [2] $ (9,105) [3] $ (4,637) [4] $ (4,305) [5] $ 1,078 [6] $ (1,157) [7] $ (3,969) [8] $ (9,013) $ 386 $ 962
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
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Commitments and Contingencies
12 Months Ended
Jan. 04, 2014
Commitments and Contingencies [Abstract]  
Commitments and Contingencies
15. Commitments and Contingencies
 
Self-Insurance
 
It is our policy to self-insure, up to certain limits, traditional risks including workers’ compensation, comprehensive general liability, and auto liability. Our self-insured deductible for each claim involving workers’ compensation, and auto liability is limited to $0.8 million and $2.0 million, respectively. Our self-insured retention for each claim involving comprehensive general liability (including product liability claims) is limited to $0.8 million.  We are also self-insured up to certain limits for certain other insurable risks, primarily physical loss to property, excluding natural catastrophes  ($0.1 million per occurrence), Director and Officer ($0.8 million per occurrence) and the majority of our medical benefit plans ($0.3 million per occurrence). Insurance coverage is maintained for catastrophic property and casualty exposures as well as those risks required to be insured by law or contract. A provision for claims under this self-insured program, based on our estimate of the aggregate liability for claims incurred, is revised and recorded annually. The estimate is derived from both internal and external sources including but not limited to actuarial estimates. The actuarial estimates are subject to uncertainty from various sources, including, among others, changes in claim reporting patterns, claim settlement patterns, judicial decisions, legislation, and economic conditions. Although, we believe that the actuarial estimates are reasonable, significant differences related to the items noted above could materially affect our self-insurance obligations, future expense and cash flow. At January 4, 2014, and December 29, 2012, the self-insurance reserves totaled $6.9 million and $7.2 million, respectively. We incurred $11.7 million in expense and $12.0 million in payments, net of reimbursements in fiscal 2013 related to our workers compensation, auto, general liability and health and welfare reserves. We incurred $10.7 million in expense and $11.1 million in payments, net of reimbursements in fiscal 2012 related to our workers compensation, auto, general liability and health and welfare reserves.
 
Operating Leases
 
Total rental expense was approximately $4.8 million for fiscal 2013, fiscal 2012, and fiscal 2011.
 
At January 4, 2014, our total commitments under long-term, non-cancelable operating leases were as follows (in thousands):
         
2014
  $ 4,391  
2015
    3,968  
2016
    4,036  
2017
    4,060  
2018
    3,498  
Thereafter
    10,060  
Total
  $ 30,013  
 
Certain of our operating leases have extension options and escalation clauses.
 
Capital Leases
 
We entered into certain capital leases for trucks and trailers during fiscal 2013, fiscal 2012 and fiscal 2011. These capital leases have  maturities of 5 to 6 years. As of January 4, 2014, the basis and net book value of assets under capital leases was $15.4 million and $11.1 million, respectively. As of December 29, 2012, the basis and net book value of assets under capital leases was $10.3 million and $9.3 million, respectively. As of December 31, 2011, the basis and net book value of assets under capital leases was $5.0 million and $4.0 million, respectively. Depreciation expense for assets under capital leases is included in the total depreciation expense disclosed in the Consolidated Statements of Operations and Comprehensive Loss.
 
At January 4, 2014, our total commitments under long-term, non-cancelable capital leases were as follows (in thousands):
                 
   
Principal
   
Interest
 
             
2014
  $ 1,753     $ 509  
2015
    1,847       399  
2016
    1,746       273  
2017
    1,342       186  
2018
    1,406       95  
Thereafter
    604       20  
Total
  $ 8,698     $ 1,482  
 
Executory costs are nominal for each of the years presented.
 
Environmental and Legal Matters
 
From time to time, we are involved in various proceedings incidental to our businesses, and we are subject to a variety of environmental and pollution control laws and regulations in all jurisdictions in which we operate. Although the ultimate outcome of these proceedings cannot be determined with certainty, based on presently available information management believes that adequate reserves have been established for probable losses with respect thereto. Management further believes that the ultimate outcome of these matters could be material to operating results in any given quarter but will not have a materially adverse effect on our long-term financial condition, our results of operations, or our cash flows.
 
Collective Bargaining Agreements
 
As of January 4, 2014, approximately 33% of our employees were represented by various labor unions.  As of January 4, 2014, we had 36 collective bargaining agreements, of which 5 are up for renewal in fiscal 2014.  We consider our relationship with our employees generally to be good.
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Summary of Significant Accounting Policies (Policies)
12 Months Ended
Jan. 04, 2014
Summary Of Significant Accounting Policies [Abstract]  
Revenue Recognition
Revenue Recognition
 
We recognize revenue when the following criteria are met: persuasive evidence of an agreement exists, delivery has occurred or services have been rendered, our price to the buyer is fixed and determinable and collectability is reasonably assured. Delivery is not considered to have occurred until the customer takes title and assumes the risks and rewards of ownership. The timing of revenue recognition is largely dependent on shipping terms. For sales transactions designated as FOB (free on board) shipping point, revenue is recorded at the time of shipment.  For sales transactions designated FOB destination, revenue is recorded when the product is delivered to the customer’s delivery site.
 
All revenues are recorded gross. The key indicators used to determine when and how revenue is recorded are as follows:
 
 
We are the primary obligor responsible for fulfillment and all other aspects of the customer relationship.
 
Title passes from BlueLinx, and we carry all risk of loss related to warehouse and third-party (“reload”) inventory and inventory shipped directly from vendors to our customers.
 
We are responsible for all product returns.
 
We control the selling price for all channels.
 
We select the supplier.
 
We bear all credit risk.
 
In addition, we provide inventory to certain customers through pre-arranged agreements on a consignment basis. Customer consigned inventory is maintained and stored by certain customers; however, ownership and risk of loss remains with us. When the inventory is sold by the customer, we recognize revenue on a gross basis. Customer consigned inventory at January 4, 2014, and December 29, 2012 was approximately $10.1 million and $10.3 million, respectively.
 
All revenues are recorded after trade allowances, cash discounts and sales returns are deducted. Cash discounts and sales returns are estimated using historical experience. Trade allowances are based on the estimated obligations and historical experience.
Cash and Cash Equivalents
Cash and Cash Equivalents
 
Cash and cash equivalents include all highly-liquid investments with maturity dates of less than three months when purchased.
Restricted Cash
Restricted Cash
 
We had restricted cash of $11.7 million and $9.9 million at January 4, 2014, and December 29, 2012, respectively. Restricted cash primarily includes amounts held in escrow related to our mortgage and insurance for workers’ compensation, auto liability, and general liability. Restricted cash is included in “Other current assets” and “Other non-current assets” on the accompanying Consolidated Balance Sheets.
 
The table below provides the balances of each individual component in restricted cash as of January 4, 2014, and December 29, 2012 (in thousands):
                 
   
At January 4,
2014
   
At December 29,
2012
 
Cash in escrow:
           
Mortgage
  $     $ 40  
Insurance
    7,921       7,906  
Other
    3,760       1,965  
Total
  $ 11,681     $ 9,911  
 
During fiscal 2013, 2012 and 2011, changes in restricted cash required under our mortgage were classified in the financing section of our Consolidated Statement of Cash Flows.  On September 19, 2012, we entered into an amendment to our mortgage agreement, which provided for the immediate prepayment of approximately $11.8 million of the indebtedness under the mortgage agreement.  In addition, on a quarterly basis, starting with the fourth quarter of fiscal 2012, additional funds held as collateral under the mortgage agreement were used to prepay indebtedness under the mortgage agreement, without prepayment premium, up to an aggregate additional prepayment of $10.0 million.  Thereafter, any cash remaining in the collateral account under the mortgage agreement, up to an aggregate of $10.0 million, is released to the Company on the last business day of each calendar quarter through the third quarter of fiscal 2014. All funds released pursuant to these provisions may be used by the Company to pay for usual and customary operating expenses. During the period described above in which cash in the collateral account is used to either prepay indebtedness under the mortgage agreement or released to the Company, the lenders will not release any of the cash collateral to the Company for specified capital expenditures as previously provided under the mortgage agreement.
Concentrations of Credit Risk
Concentrations of Credit Risk
 
Our receivables are principally from customers in the building products industry located in the United States and Canada.  We believe concentration of credit risk with respect to receivables is limited due to the large number of customers comprising our customer base. None of our customers individually constitute more than 10% of fiscal 2013 sales.
Allowance for Doubtful Accounts and Related Reserves
Allowance for Doubtful Accounts and Related Reserves
 
We evaluate the collectability of receivables based on numerous factors, including past transaction history with customers and their creditworthiness. We maintain an allowance for doubtful accounts for each aging category on our aged trial balance, which is aged utilizing contractual terms, based on our historical loss experience. This estimate is periodically adjusted when we become aware of specific customers’ inability to meet their financial obligations (e.g., bankruptcy filing or other evidence of liquidity problems). As we determine that specific balances ultimately will be uncollectible, we remove them from our aged trial balance. Additionally, we maintain reserves for cash discounts that we expect customers to earn as well as expected returns. At January 4, 2014, and December 29, 2012, these reserves totaled $4.4 million and $4.7 million, respectively.
Inventory Valuation
Inventory Valuation
 
Inventories are carried at the lower of cost or market. The cost of all inventories is determined by the moving average cost method. We have included all material charges directly or indirectly incurred in bringing inventory to its existing condition and location. We evaluate our inventory value at the end of each quarter to ensure that first quality, actively moving inventory, when viewed by category, is carried at the lower of cost or market. During the second quarter of fiscal 2013, we recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss a lower of cost or market charge of $3.8 million related to declines in prices for our lumber, oriented strand board (“OSB”) and plywood inventory.  As we sold through inventory impacted by this reserve during the third quarter of fiscal 2013 and prices of lumber, OSB and plywood stabilized, the reserve was reduced to zero as of January 4, 2014.  
 
Additionally, we maintain a reserve for the estimated value impairment associated with damaged, excess and obsolete inventory. The damaged, excess and obsolete reserve generally includes discontinued items or inventory that has turn days in excess of 270 days, excluding new items during their product launch. At January 4, 2014, and December 29, 2012, our damaged, excess and obsolete inventory reserves were $1.8 million and $1.1 million, respectively.  During the second quarter of fiscal 2013, approximately $1.0 million was recorded in “Cost of sales” in the Consolidated Statements of Operations and Comprehensive Loss for damaged, excess and obsolete inventory related to the closure of five distribution centers.  There was $0.3 million of this reserve remaining as of January 4, 2014, related to this inventory.  We discuss the closure or ceasing of operations of these distribution centers, which is included in our 2013 restructuring plan (the “2013 restructuring”), further in “Note 3 – Restructuring Charges”.
Consignment Inventory
Consignment Inventory
 
We enter into consignment inventory agreements with vendors. This vendor consignment inventory relationship allows us to obtain and store vendor inventory at our warehouses and third-party (“reload”) facilities; however, ownership and risk of loss generally remains with the vendor. When the inventory is sold, we are required to pay the vendor, and we simultaneously take and transfer ownership from the vendor to the customer.
Consideration Received from Vendors and Paid to Customers
Consideration Received from Vendors and Paid to Customers
 
Each year, we enter into agreements with many of our vendors providing for inventory purchase rebates, generally based on achievement of specified volume purchasing levels. We also receive rebates related to price protection and various marketing allowances that are common industry practice. We accrue for the receipt of vendor rebates based on purchases, and also reduce inventory to reflect the net acquisition cost (purchase price less expected purchase rebates). At January 4, 2014, and December 29, 2012, the vendor rebate receivable totaled $7.6 million and $9.0 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
In addition, we enter into agreements with many of our customers to offer customer rebates, generally based on achievement of specified volume sales levels and various marketing allowances that are common industry practice. We accrue for the payment of customer rebates based on sales to the customer, and also reduce sales to reflect the net sales (sales price less expected customer rebates). At January 4, 2014, and December 29, 2012, the customer rebate payable totaled $6.3 million and $5.5 million, respectively. Adjustments to earnings resulting from revisions to rebate estimates have been immaterial.
 
Shipping and Handling
Shipping and Handling
 
Amounts billed to customers in sales transactions related to shipping and handling are classified as revenue. Shipping and handling costs included in “Selling, general, and administrative” expenses were $99.7 million, $91.2 million, and $87.9 million for fiscal 2013, fiscal 2012, and fiscal 2011, respectively.
Advertising Costs
Advertising Costs
 
Advertising costs are expensed as incurred. Advertising expenses of $1.2 million, $1.1 million, and $1.9 million were included in “Selling, general and administrative” expenses for fiscal 2013, fiscal 2012 and fiscal 2011, respectively.
Loss per Common Share
Loss per Common Share
 
We calculate our basic loss per share by dividing net loss by the weighted average number of common shares and participating securities outstanding for the period. Restricted stock granted by us to certain management employees and non-employee directors participate in dividends on the same basis as common shares and are non-forfeitable by the holder. The unvested restricted stock contains non-forfeitable rights to dividends or dividend equivalents. As a result, these share-based awards meet the definition of a participating security and are included in the weighted average number of common shares outstanding, pursuant to the two-class method, for the periods that present net income. The two-class method is an earnings allocation formula that treats a participating security as having rights to earnings that would otherwise have been available to common stockholders.
 
Given that the restricted stockholders do not have a contractual obligation to participate in the losses and the inclusion of such unvested restricted shares in our basic and dilutive per share calculations would be anti-dilutive, we have not included these amounts in our weighted average number of common shares outstanding for periods in which we report a net loss. Therefore, we have not included 1,618,283, 3,554,738 and 2,361,424 of unvested restricted shares that had the right to participate in dividends in our basic and dilutive calculations for fiscal 2013, fiscal 2012, and fiscal 2011, respectively, because all periods reflected net losses.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. During fiscal 2013, we granted 2,969,424 performance shares under our 2006 Long-Term Equity Incentive Plan (the “2006 Plan”) in which shares are issuable upon satisfaction of certain performance criteria. As of January 4, 2014, we assumed that 2,192,868 of these performance shares will vest, net of forfeitures and vestings to date, based on our assumption that meeting the performance criteria is probable. The performance shares are not considered participating shares under the two-class method because they do not receive any non-transferable rights to dividends.  The 2,192,868 performance shares we assume will vest were not included in the computation of diluted earnings per share calculation because they were antidilutive.
 
Except when the effect would be anti-dilutive, the diluted earnings per share calculation includes the dilutive effect of the assumed exercise of stock options and performance shares using the treasury stock method. As we experienced losses in all periods, basic and diluted loss per share are computed by dividing net loss by the weighted average number of common shares outstanding for the period. For fiscal 2013, fiscal 2012, and fiscal 2011, we excluded 4,595,650, 4,460,054 and  3,266,740 unvested share-based awards, respectively, from the diluted earnings per share calculation because they were anti-dilutive. The unvested share-based awards total excludes the assumed exercise of unexpired stock options.
 
On March 27, 2013, we completed a rights offering of common stock to our stockholders (the “2013 Rights Offering”) at a subscription price that was lower than the market price of our common stock. The 2013 Rights Offering was deemed to contain a bonus element that is similar to a stock dividend, requiring us to adjust the weighted average number of common shares used to calculate basic and diluted earnings per share in prior periods retrospectively by a factor of 1.0894. Weighted average shares for fiscal 2012 prior to giving effect to the 2013 Rights Offering were 60,079,528 and 65,451,808 after application of the adjustment factor above. Weighted average shares for fiscal 2011 prior to giving effect to the 2013 Rights Offering were 43,187,315 and 47,049,102 after application of the adjustment factor above.
Common Stock Dividends
Common Stock Dividends
 
On December 5, 2007, our Board of Directors suspended the payment of dividends on our common stock for an indefinite period of time. Resumption of the payment of dividends will depend on, among other things, business conditions in the housing industry, our results of operations, cash requirements, financial condition, contractual restrictions, provisions of applicable law and other factors that our Board of Directors may deem relevant. Accordingly, we may not be able to resume the payment of dividends at the same quarterly rate in the future, if at all.
Property and Equipment
Property and Equipment
 
Property and equipment are recorded at cost. Lease obligations for which we assume or retain substantially all the property rights and risks of ownership are capitalized. Replacements of major units of property are capitalized and the replaced properties are retired. Replacements of minor components of property and repair and maintenance costs are charged to expense as incurred.
 
Depreciation is computed using the straight-line method over the estimated useful lives of the related assets. Useful lives are 2 to 18 years for land improvements, 5 to 40 years for buildings, and 3 to 7 years for machinery and equipment, which includes mobile equipment. Upon retirement or disposition of assets, cost and accumulated depreciation are removed from the related accounts and any gain or loss is included in income. Depreciation expense totaled $9.1 million for fiscal 2013, $8.4 million for fiscal 2012 and $10.4 million for fiscal 2011.
 
During fiscal 2013, we sold certain properties with carrying values of $3.9 million, which resulted in gains totaling $5.2 million.  During fiscal 2012, we sold certain properties with carrying values of $7.4 million, which resulted in gains totaling $9.9 million.  These gains are recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.  All of these properties in fiscal 2013 and fiscal 2012 were classified as held for sale.  See Note 4 for discussion of the held for sale properties sold during the year.
Impairment of Long-Lived Assets
Impairment of Long-Lived Assets
 
Long-lived assets, including property and equipment and intangible assets with definite useful lives, are reviewed for possible impairment whenever events or circumstances indicate that the carrying amount of an asset may not be recoverable.
 
We consider whether there were indicators of potential impairment on a quarterly basis. Indicators of impairment include current period losses combined with a history of losses, management’s decision to exit a facility, reductions in the fair market value of real properties and changes in other circumstances that indicate the carrying amount of an asset may not be recoverable.
 
Our evaluation of long-lived assets is performed at the lowest level of identifiable cash flows, which is generally the individual distribution facility. In the event of indicators of impairment, the assets of the distribution facility are evaluated by comparing the facility’s undiscounted cash flows over the estimated useful life of the asset, which ranges between 5-40 years, to its carrying value. If the carrying value is greater than the undiscounted cash flows, an impairment loss is recognized for the difference between the carrying value of the asset and the estimated fair market value. Impairment losses are recorded as a component of “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.
 
Our estimate of undiscounted cash flows is subject to assumptions that affect estimated operating income at a distribution facility level. These assumptions are related to future sales, margin growth rates, economic conditions, market competition and inflation. In the event that undiscounted cash flows do not exceed the carrying value of a facility, our estimates of fair market value are generally based on market appraisals and our experience with related market transactions. We use a two year average of cash flows based on 2013 EBITDA and 2014 projected EBITDA, which includes a growth factor assumption, to estimate undiscounted cash flows. These assumptions used to determine impairment are considered to be level 3 measurements in the fair value hierarchy as defined in Note 13.
 
While operating results have declined during the past several years as they are closely tied to U.S. housing starts, during fiscal 2012 we began to see signs of a housing recovery, and our results have improved; however, our sales are still below normal levels.  To the extent that reductions in volume and operating income have resulted in impairment indicators, in all cases our carrying values continue to be less than our projected undiscounted cash flows. As such, we have not identified significant known trends impacting the fair value of long-lived assets to an extent that would indicate impairment.
 
During the first quarter of fiscal 2011 our Newtown, CT facility was damaged due to severe winter weather. As a result of the damage to the facility and its contents we received approximately $5.8 million in proceeds from the insurance company comprised of $2.2 million related to the damaged building, $2.4 million related to damaged and destroyed inventory and $1.2 million related to the recovery of additional expenses incurred as a result of the damage. Cash received related to the damaged building was classified as an investing cash inflow in our Consolidated Statements of Cash Flows and used to reduce the principal of our mortgage. All other cash inflows related to the insurance settlement were classified as operating cash flows in our Consolidated Statements of Cash Flows. The majority of the remaining cash inflows were used to fund costs incurred related to the Newtown loss. We recognized a $1.4 million gain in fiscal 2011 of which $1.2 million related to the damaged building and $0.2 million related to the recovery of gross margin on the inventory. We recorded the gain at the time that the recovery of the minimum expected proceeds under our insurance policy became probable and was estimable. This gain was recorded in “Selling, general and administrative expenses” in our Consolidated Statements of Operations and Comprehensive Loss.
Share-Based Compensation
Share-Based Compensation
 
We recognize compensation expense equal to the grant-date fair value for all share-based payment awards that are expected to vest. This expense is recorded on a straight-line basis over the requisite service period of the entire award, unless the awards are subject to market or performance conditions, in which case we recognize compensation expense over the requisite service period of each separate vesting tranche to the extent market and performance conditions are considered probable. The calculation of fair value related to share-based compensation is subject to certain assumptions discussed in more detail in Note 7. Management updates such estimates when circumstances warrant. All compensation expense related to our share-based payment awards is recorded in “Selling, general and administrative” expense in the Consolidated Statements of Operations and Comprehensive Loss.
Income Taxes
Income Taxes
 
Deferred income taxes are provided using the liability method. Accordingly, deferred income taxes are recognized for differences between the income tax and financial reporting bases of our assets and liabilities based on enacted tax laws and tax rates applicable to the periods in which the differences are expected to affect taxable income.  We recognize a valuation allowance, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized.  In evaluating our ability to recover our deferred income tax assets, we considered available positive and negative evidence, including our past operating results, our ability to carryback losses against prior taxable income, the existence of cumulative losses in the most recent years, our forecast of future taxable income and an excess of appreciated assets over the tax basis of our net assets. In estimating future taxable income, we developed assumptions including the amount of future state and federal pretax operating and non-operating income, the reversal of temporary differences and the implementation of feasible and prudent tax planning strategies.  These assumptions required significant judgment about the forecasts of future taxable income.  When we considered all of the available positive and negative evidence, when based on the weight of all available evidence, we believe it is more likely than not that some or all of our deferred tax assets will not be realized. Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements.
 
If the realization of deferred tax assets in the future is considered more likely than not, a reduction to the valuation allowance related to the deferred tax assets would increase net income in the period such determination is made. The amount of the deferred tax asset considered realizable is based on significant estimates, and it is possible that changes in these estimates could materially affect the financial condition and results of operations.  Our effective tax rate may vary from period to period based on changes in estimated taxable income or loss; changes to the valuation allowance; changes to federal or state tax laws; and as a result of acquisitions.
 
We generally believe that the positions taken on previously filed tax returns are more likely than not to be sustained by the taxing authorities.  We have recorded income tax and related interest liabilities where we believe our position may not be sustained.  Such amounts are disclosed in Note 5 of the Notes to the Consolidated Financial Statements.
Foreign Currency Translation
Foreign Currency Translation
 
The functional currency for our Canadian operations is the Canadian dollar. The translation of the applicable currencies into U.S. dollars is performed for balance sheet accounts using current exchange rates in effect at the balance sheet date and for revenue and expense accounts using a weighted average exchange rate during the period. Any related translation adjustments are recorded directly in stockholders’ equity. Foreign currency transaction gains and losses are reflected in the Consolidated Statements of Operations and Comprehensive Loss. Accumulated other comprehensive loss at January 4, 2014, and December 29, 2012 included the accumulated gain from foreign currency translation (net of tax) of $1.6 million and $1.8 million, respectively.
Compensated Absences
Compensated Absences
 
We accrue for the costs of compensated absences to the extent that the employee’s right to receive payment relates to service already rendered, the obligation vests or accumulates, payment is probable and the amount can be reasonably estimated.
Use of Estimates
Use of Estimates
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make certain estimates and assumptions. These estimates and assumptions affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements, as well as reported amounts of revenues and expenses during the reporting period. Actual results could differ from these estimates and such differences could be material.
Reclassifications
Reclassifications
 
During fiscal 2012, we classified certain amounts, which had historically been presented as “Property, plant and equipment investments” in the “Cash flows from investing activities” section of the Consolidated Statements of Cash Flows to “Other” changes in the “Cash flows from operating activities” section of the Consolidated Statements of Cash Flows. To conform the historical presentation to the current and future presentation, we reclassified similar items in prior periods from “Net cash (used in) provided by investing activities” to “Net cash used in operating activities” in our Consolidated Statements of Cash Flows. The presentation of these same items during fiscal 2013 is consistent with the adjusted presentation in fiscal 2012 and will be going forward.
New Accounting Standards
New Accounting Standards
 
In the first quarter of fiscal 2013, the Financial Accounting Standards Board (the “FASB”) issued an amendment to previously issued guidance which requires companies to report, in one place, information about reclassifications out of accumulated other comprehensive income (“AOCI”). The update also requires companies to present reclassifications by component when reporting changes in AOCI balances. For significant items reclassified out of AOCI to net income in their entirety in the period, companies must report the effect of the reclassifications on the respective line items in the statement where net income is presented. In certain circumstances, this can be done on the face of that statement. Otherwise, it must be presented in the notes. For items not reclassified to net income in their entirety in the period, companies must cross-reference in a note to other required disclosures. The amendments are effective for public companies in fiscal years, and interim periods within those years, beginning after December 15, 2012. We adopted this guidance during the first quarter of fiscal 2013; refer to “Note 17 – Accumulated Other Comprehensive Loss” for the required disclosures.
 
There were no other accounting pronouncements adopted during fiscal 2013 that had a material impact on our financial statements.
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Restructuring Charges (Detail Textuals) (USD $)
3 Months Ended 12 Months Ended 9 Months Ended 3 Months Ended 12 Months Ended
Mar. 30, 2013
Sep. 29, 2012
Jan. 04, 2014
Dec. 29, 2012
Mar. 31, 2012
Sep. 28, 2013
Selling, general and administrative expenses
Jun. 29, 2013
2013 Facility Lease Obligation and Severance Costs
Distribution_Center
Jan. 04, 2014
2013 Facility Lease Obligation and Severance Costs
Jan. 04, 2014
2013 Facility Lease Obligation and Severance Costs
Selling, general and administrative expenses
Jan. 04, 2014
2013 Facility Lease Obligation and Severance Costs
Facility Lease Obligation
Jan. 04, 2014
2013 Facility Lease Obligation and Severance Costs
Facility Lease Obligation
Selling, general and administrative expenses
Facility
Restructuring Cost and Reserve [Line Items]                      
Number of distribution centers to be sold or closed             5        
Severance charges     $ 5,607,000           $ 5,600,000    
Share based compensation related to 2013 restructuring and change in executive leadership                 2,900,000    
Severance and lease facility restructuring charges               7,107,000   1,398,000 1,300,000
Number of facilities closed for which lease reserves were recorded                     2
Other restructuring related charges                 1,400,000    
Space remittance fee payable         5,000,000            
Contractually obligated tenant improvement reimbursement expense 300,000 900,000                  
Remaining balance accrued facility consolidation reserve     300,000 300,000              
Lease expiration date     Jan. 31, 2019                
Transition Costs           $ 800,000          
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Basis of Presentation and Background (Detail Textuals)
12 Months Ended
Jan. 04, 2014
Customer
Product
Supplier
Distribution_Center
Employee
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Number of employees 1,700
Number of products 10,000
Number of suppliers 750
Number of customers 11,500
Number of distribution centers 50
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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Cash flows from operating activities:      
Net loss $ (40,618) $ (23,027) $ (38,567)
Adjustments to reconcile net loss to cash used in operations:      
Depreciation and amortization 9,117 8,565 10,562
Amortization of debt issue costs 3,184 3,746 2,940
Write-off of debt issue costs 119    
Gain from sale of properties (5,220) (9,885) (10,604)
Gain from property insurance settlements   (476) (1,230)
Changes associated with the ineffective interest rate swap     (1,676)
Vacant property charges, net 1,321 (30) (291)
Severance charges 5,607    
Gain from modification of lease agreement      (1,971)
Payments on modification on lease agreement (300) (5,875)  
Deferred income tax benefit (5) (20) (25)
Intraperiod income tax allocation related to hourly pension plan (8,894)    
Pension expense 4,591 3,942 1,774
Share-based compensation, excluding restructuring related 3,222 2,797 1,974
Share-based compensation, restructuring related 2,895    
(Increase) decrease in restricted cash related to the ineffective interest rate swap, insurance, and other (1,810) 695 987
Accrued compensation and other (9,152) (657) (3,181)
Adjustments to reconcile net loss to cash used in operations, Total (35,943) (20,225) (39,308)
Changes in assets and liabilities:      
Receivables 7,168 (18,593) (19,670)
Inventories 6,479 (44,482) 2,673
Accounts payable (17,585) 9,050 5,973
Net cash used in operating activities (39,881) (74,250) (50,332)
Cash flows from investing activities:      
Property, plant and equipment investments (4,912) (2,826) (6,533)
Proceeds from disposition of assets 10,365 19,195 18,355
Net cash provided by investing activities 5,453 16,369 11,822
Cash flows from financing activities:      
Excess tax benefits from share-based compensation arrangements 16    
Repurchase of shares to satisfy employee tax withholdings (3,192) (526)  
Repayments on revolving credit facilities (560,186) (473,349) (478,630)
Borrowings from revolving credit facilities 599,968 550,270 475,918
Principal payments on mortgage (19,038) (37,272) (42,416)
Payments on capital lease obligations (3,142) (2,259) (1,440)
(Decrease) increase in bank overdrafts (16,007) 13,020 (725)
Decrease in restricted cash related to the mortgage 40 9,970 20,604
Debt financing costs (2,900) (1,683) (2,721)
Proceeds from stock offering less expenses paid 38,715   58,521
Net cash provided by financing activities 34,274 58,171 29,111
(Decrease) increase in cash (154) 290 (9,399)
Cash and cash equivalents balance, beginning of period 5,188 4,898 14,297
Cash and cash equivalents balance, end of period 5,034 5,188 4,898
Supplemental Cash Flow Information      
Net income tax payments during the period (332) (508) (22)
Interest paid during the period 24,706 24,288 28,098
Noncash transactions:      
Capital leases $ 5,069 $ 5,238 $ 3,131
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Unaudited Selected Quarterly Financial Data (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Jan. 04, 2014
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 29, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Selected Quarterly Financial Information [Abstract]                      
Net sales $ 486,275 [1] $ 557,952 [2] $ 604,592 [3] $ 503,153 [4] $ 440,298 [5] $ 496,810 [6] $ 517,026 [7] $ 453,708 [8] $ 2,151,972 $ 1,907,842 $ 1,755,431
Gross profit 54,348 [1] 62,492 [2] 55,185 [3] 56,458 [4] 52,119 [5] 60,531 [6] 63,188 [7] 54,232 [8] 228,483 230,070 210,149
Operating expenses:                      
Selling, general, and administrative 55,627 [1] 58,176 [2] 61,201 [3] 58,760 [4] 54,842 [5] 57,307 [6] 57,564 [7] 56,644 [8] 240,667 215,996 207,857
Gain from property insurance settlements    [1]    [2]    [3]    [4]    [5]    [6] (476) [7]    [8]   (476) (1,230)
(Gain) loss from sale of properties (1,311) [1] (3,679) [2]    [3] (230) [4] (204) [5] (9,151) [6] 48 [7] (578) [8] (5,220) (9,885) (10,604)
Restructuring and other charges 1,167 [1] 2,758 [2] 7,309 [3] 889 [4]    [5]    [6]    [7]    [8]      
Depreciation and amortization 2,571 [1] 2,144 [2] 2,229 [3] 2,173 [4] 2,012 [5] 2,106 [6] 2,187 [7] 2,260 [8] 9,117 8,565 10,562
Operating (loss) income (3,706) [1] 3,093 [2] (15,554) [3] (5,134) [4] (4,531) [5] 10,269 [6] 3,865 [7] (4,094) [8] (21,301) 5,509 (8,270)
Non-operating expenses:                      
Interest expense 6,998 [1] 6,918 [2] 6,916 [3] 7,192 [4] 6,756 [5] 7,294 [6] 7,325 [7] 6,782 [8] 28,024 28,157 30,510
Other expense (income) 50 [1] 17 [2] 128 [3] 110 [4] 22 [5] (16) [6] 49 [7] (62) [8] (306) 7 (501)
(Benefit from) provision for income taxes (12,491) [1] (2,134) [2] (9,105) [3] (4,637) [4] (4,305) [5] 1,078 [6] (1,157) [7] (3,969) [8] (9,013) 386 962
Tax valuation allowance 4,194 [1] 1,498 [2] 8,813 [3] 4,850 [4] 4,366 [5] (1,155) [6] 1,354 [7] 4,174 [8]      
Net (loss) income $ (2,457) [1] $ (3,206) [2] $ (22,306) [3] $ (12,649) [4] $ (11,370) [5] $ 3,068 [6] $ (3,706) [7] $ (11,019) [8] $ (40,618) $ (23,027) $ (38,567)
Basic and diluted weighted average number of common shares outstanding (in shares) 84,818,331 [1] 84,595,708 [2] 84,167,120 [3] 66,713,964 [4] 65,493,920 [5] 65,472,685 [6] 65,471,450 [7] 65,368,259 [8] 80,163,000 65,452,000 47,049,000
Basic and diluted net (loss) income per share applicable to common shares (in dollars per share) $ (0.03) [1] $ (0.04) [2] $ (0.27) [3] $ (0.19) [4] $ (0.17) [5] $ 0.04 [6] $ (0.06) [7] $ (0.17) [8] $ (0.51) $ (0.35) $ (0.82)
[1] During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[2] During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[3] During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[4] During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[5] During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[6] During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
[7] During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
[8] During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
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Assets Held for Sale and Net Gain on Disposition
12 Months Ended
Jan. 04, 2014
Assets Held For Sale and Net Gain On Disposition [Abstract]  
Assets Held for Sale and Net Gain on Disposition
4. Assets Held for Sale and Net Gain on Disposition
 
We have certain assets that we have designated as assets held for sale. At the time of designation, we ceased recognizing depreciation expense on these assets. As of January 4, 2014, and December 29, 2012, total assets held for sale were $2.6 million and $1.6 million, respectively, and were included in “Other current assets” in our Consolidated Balance Sheets. During the second quarter of fiscal 2013, we designated the Denver, Colorado sales center and the Sioux Falls, South Dakota distribution center as held for sale.  We finalized the sale of the owned Denver, Colorado sales center, which had a carrying value of $3.3 million, during the third quarter. We finalized the sale of the Sioux Falls facility, which had a carrying value of $0.6 million, during the fourth quarter of fiscal 2013.  We also designated one of our distribution centers as held for sale during the second quarter of fiscal 2013.  This property has a total carrying value of $1.9 million, and we plan to finalize a sale of the facility within the next 12 months.  We continue to actively market all properties that are designated as held for sale.
 
During fiscal 2013 we recognized a gain of $5.0 million on the sale of the Denver, Colorado sales center and the Sioux Falls, South Dakota facility. This gain was net of $0.5 million of capitalized broker commissions related to the Denver, Colorado sales center lease that were written off during the period.  This gain was recorded in “Selling, general, and administrative” expenses in the Consolidated Statements of Operations and Comprehensive Loss.  We recognized an additional gain related to the sale of our Fremont, California location during fiscal 2013 of approximately $0.2 million.  The gain was related to seller’s proceeds that were held by the title company for certain remediation activities that were settled during the first quarter of fiscal 2013.
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Income Taxes (Detail Textuals 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Operating Loss Carryforwards [Line Items]  
Federal NOL carryovers $ 168.1
State NOL carryovers $ 232.2
Federal
 
Operating Loss Carryforwards [Line Items]  
Net operating loss carryforwards, expiration dates expire in 15 to 20 years
State
 
Operating Loss Carryforwards [Line Items]  
Net operating loss carryforwards, expiration dates expire in 1 to 20 years
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Commitments and Contingencies (Details 1) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Long-term, non-cancelable capital leases principal payment  
2014 $ 1,753
2015 1,847
2016 1,746
2017 1,342
2018 1,406
Thereafter 604
Total 8,698
Long-term, non-cancelable capital leases interest payment  
2014 509
2015 399
2016 273
2017 186
2018 95
Thereafter 20
Total $ 1,482
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Employee Benefits (Details 5) (USD $)
In Thousands, unless otherwise specified
Jan. 04, 2014
Employee Benefits [Abstract]  
January 3, 2015 $ 4,998
January 2, 2016 5,332
December 31, 2016 5,641
December 30, 2017 5,914
December 29, 2018 6,206
Thereafter $ 34,372
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Basis of Presentation and Background (Tables)
12 Months Ended
Jan. 04, 2014
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of net sales by product category
   
Fiscal Year
Ended
January 4,
2014
   
Fiscal Year
Ended
December 29,
2012
   
Fiscal Year
Ended
December 31,
2011
 
   
(Dollars in millions)
 
Sales by category
                 
Structural products
  $ 968     $ 806     $ 705  
Specialty products
    1,200       1,114       1,068  
Unallocated allowances and adjustments
    (16 )     (12 )     (18 )
Total sales
  $ 2,152     $ 1,908     $ 1,755  
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Process Flow-Through: 002 - Statement - CONSOLIDATED BALANCE SHEETS Process Flow-Through: Removing column 'Dec. 31, 2011' Process Flow-Through: Removing column 'Jan. 01, 2011' Process Flow-Through: 003 - Statement - CONSOLIDATED BALANCE SHEETS (Parentheticals) Process Flow-Through: 004 - Statement - CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS Process Flow-Through: Removing column '3 Months Ended Jan. 04, 2014' Process Flow-Through: Removing column '3 Months Ended Sep. 28, 2013' Process Flow-Through: Removing column '3 Months Ended Jun. 29, 2013' Process Flow-Through: Removing column '3 Months Ended Mar. 30, 2013' Process Flow-Through: Removing column '3 Months Ended Dec. 29, 2012' Process Flow-Through: Removing column '3 Months Ended Sep. 29, 2012' Process Flow-Through: Removing column '3 Months Ended Jun. 30, 2012' Process Flow-Through: Removing column '3 Months Ended Mar. 31, 2012' Process Flow-Through: 005 - Statement - CONSOLIDATED STATEMENTS OF CASH FLOWS bxc-20140104.xml bxc-20140104.xsd bxc-20140104_cal.xml bxc-20140104_def.xml bxc-20140104_lab.xml bxc-20140104_pre.xml true true XML 111 R74.htm IDEA: XBRL DOCUMENT v2.4.0.8
Inventory Reserve Accounts (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jan. 04, 2014
Dec. 29, 2012
Dec. 31, 2011
Inventory Reserve Accounts [Abstract]      
Obsolescence/damaged inventory reserve, Beginning balance $ 1,126 $ 1,492 $ 1,670
Obsolescence damaged inventory reserve, Expense 4,783 3,625 2,309
Obsolescence/damaged inventory reserve, Write-offs and Other, net (4,111) (3,991) (2,487)
Obsolescence/damaged inventory reserve, Ending balance 1,798 1,126 1,492
Lower of cost or market reserve, Beginning balance         
Lower of cost or market reserve, Expense 3,843      
Lower of cost or market reserve, Write-offs and Other, net (3,843)      
Lower of cost or market reserve, Ending balance         
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Unaudited Selected Quarterly Financial Data (Tables)
12 Months Ended
Jan. 04, 2014
Selected Quarterly Financial Information [Abstract]  
Schedule of quarterly financial information
 
    First Quarter     Second Quarter     Third Quarter     Fourth Quarter  
    Three Months     Three Months     Three Months     Three Months    
Three Months
   
Three Months
   
Three Months
   
Three Months
 
    Ended     Ended     Ended     Ended    
Ended
   
Ended
   
Ended
   
Ended
 
    March 30,     March 31,     June 29,     June 30,    
September 28,
   
September 29,
   
January 4,
   
December 29,
 
    2013(a)     2012(b)     2013(c)     2012(d)    
2013(e)
   
2012(f)
     2014(g)    
2012(h)
 
     
(In thousands, except per share amounts)
 
Net sales
  $ 503,153     $ 453,708     $ 604,592     $ 517,026     $ 557,952     $ 496,810     $ 486,275     $ 440,298  
Gross profit
    56,458       54,232       55,185       63,188       62,492       60,531       54,348       52,119  
Operating expenses:
                                                               
Selling, general and administrative
    58,760       56,644       61,201       57,564       58,176       57,307       55,627       54,842  
Gain from property insurance settlement
                      (476 )                        
(Gain) loss from sale of properties
    (230 )     (578 )           48       (3,679 )     (9,151 )     (1,311 )     (204 )
Restructuring and other charges
    889             7,309             2,758             1,167        
                                                                 
Depreciation and amortization
    2,173       2,260       2,229       2,187       2,144       2,106       2,571       2,012  
Operating (loss) income
    (5,134 )     (4,094 )     (15,554 )     3,865       3,093       10,269       (3,706 )     (4,531 )
Non-operating expenses:
                                                               
Interest expense
    7,192       6,782       6,916       7,325       6,918       7,294       6,998       6,756  
Other expense (income)
    110       (62 )     128       49       17       (16 )     50       22  
(Benefit from) provision for income taxes
    (4,637 )     (3,969 )     (9,105 )     (1,157 )     (2,134 )     1,078       (12,491 )     (4,305 )
Tax valuation allowance
    4,850     4,174       8,813     1,354       1,498     (1,155 )     4,194     4,366  
Net (loss) income
  $ (12,649 )   $ (11,019 )   $ (22,306 )   $ (3,706 )   $ (3,206 )   $ 3,068     $ (2,457 )   $ (11,370 )
Basic and diluted weighted average number of common shares outstanding
    66,714       65,368       84,167       65,471       84,596       65,473       84,818       65,494  
Basic and diluted net (loss) income per share applicable to common shares
  $ (0.19 )   $ (0.17 )   $ (0.27 )   $ (0.06 )   $ (0.04 )   $ 0.04     $ (0.03 )   $ (0.17 )
   
 
(a)
During the three months ended March 30, 2013 basic and diluted weighted average shares were 66,713,964. Total share-based awards of 5,512,899 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(b)
During the three months ended March 31, 2012, basic and diluted weighted average shares were 65,368,259. Total share-based awards of 4,519,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(c)
During the three months ended June 29, 2013, basic and diluted weighted average shares were 84,167,120. Total share-based awards of 5,203,076 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(d)
During the three months ended June 30, 2012, basic and diluted weighted average shares were 65,471,450. Total share-based awards of 4,515,590 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(e)
During the three months ended September 28, 2013, basic and diluted weighted average shares were 84,595,708. Total share-based awards of 5,136,430 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(f)
During the three months ended September 29, 2012, basic and diluted weighted average shares were 65,472,685.
   
(g)
During the three months ended January 4, 2014, basic and diluted weighted average shares were 84,818,331, respectively. Total share-based awards of 4,595,650 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
   
(h)
During the three months ended December 29, 2012, basic and diluted weighted average shares were 65,493,920, respectively. Total share-based awards of 4,460,054 were excluded from our diluted earnings per share calculation because they were anti-dilutive.
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Related Party Transactions
12 Months Ended
Jan. 04, 2014
Related Party Transactions [Abstract]  
Related Party Transactions
14. Related Party Transactions
 
Cerberus Capital Management, L.P., our equity sponsor, retains consultants that specialize in operations management and support and who provide Cerberus with consulting advice concerning portfolio companies in which funds and accounts managed by Cerberus or its affiliates have invested. From time to time, Cerberus makes the services of these consultants available to Cerberus portfolio companies. We believe that the terms of these consulting arrangements are favorable to us, or, alternatively, are materially consistent with those terms that would have been obtained by us in an arrangement with an unaffiliated third party. We have normal service, purchase and sales arrangements with other entities that are owned or controlled by Cerberus. We believe that these transactions are not material to our results of operations or financial position. 
 
In connection with the 2013 Rights Offering, Cerberus ABP Investor LLC (“Cerberus”), the Company’s majority shareholder, exercised all of the rights issued to it and subscribed for the maximum additional shares pursuant to the over-subscription privilege that it was entitled to purchase.

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