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Accumulated Other Comprehensive Loss (Tables)
3 Months Ended
Mar. 28, 2021
Equity [Abstract]  
Schedule of Accumulated Other Comprehensive Loss
Changes in Accumulated other comprehensive loss were as follows (in thousands):
Three months ended March 28, 2021
Foreign currency translation adjustmentsDerivative financial instrumentsPension and postretirement benefit plansTotal
Balance, beginning of period$(7,589)$(46,116)$(429,712)$(483,417)
Other comprehensive loss, before reclassifications(17,074)(50,737)— (67,811)
Income tax (expense) benefit(264)11,092 — 10,828 
(17,338)(39,645)— (56,983)
Reclassifications:
Net loss on derivative financial instruments— 73,586 — 73,586 
Prior service credits(a)
— — (893)(893)
Actuarial losses(a)
— — 18,650 18,650 
Reclassifications before tax— 73,586 17,757 91,343 
Income tax expense— (16,411)(4,169)(20,580)
— 57,175 13,588 70,763 
Other comprehensive (loss) income(17,338)17,530 13,588 13,780 
Balance, end of period$(24,927)$(28,586)$(416,124)$(469,637)
Three months ended March 29, 2020
Foreign currency translation adjustmentsDerivative financial instrumentsPension and postretirement benefit plansTotal
Balance, beginning of period$(40,813)$(14,586)$(481,550)$(536,949)
Other comprehensive loss, before reclassifications(35,821)(38,172)— (73,993)
Income tax benefit1,366 8,267 — 9,633 
(34,455)(29,905)— (64,360)
Reclassifications:
Net loss on derivative financial instruments— 12,881 — 12,881 
Prior service credits(a)
— — (867)(867)
Actuarial losses(a)
— — 16,495 16,495 
Reclassifications before tax— 12,881 15,628 28,509 
Income tax expense— (2,821)(3,669)(6,490)
— 10,060 11,959 22,019 
Other comprehensive (loss) income(34,455)(19,845)11,959 (42,341)
Balance, end of period$(75,268)$(34,431)$(469,591)$(579,290)
(a) Amounts reclassified are included in the computation of net periodic benefit cost, discussed further in Note 15