XML 42 R31.htm IDEA: XBRL DOCUMENT v3.22.2.2
Restructuring Activities (Tables)
9 Months Ended
Sep. 25, 2022
Restructuring and Related Activities [Abstract]  
Schedule of Changes in the Accrued Restructuring Liability This includes restructuring expense (benefit) for the three and nine month periods ended September 25, 2022 and September 26, 2021 by segment as follows (in thousands):
Three months endedNine months ended
September 25,
2022
September 26,
2021
September 25,
2022
September 26,
2021
Motorcycles and Related Products$$517 $(389)$731 
Financial Services— 98 — 436 
$$615 $(389)$1,167 
Changes in accrued restructuring expenses, which are included in Accrued liabilities on the Consolidated balance sheets, were as follows (in thousands):
Three months ended September 25, 2022
Employee Termination BenefitsContract Terminations
& Other
Non-Current Asset AdjustmentsTotal
Balance, beginning of period$79 $744 $— $823 
Restructuring expense— — 
Utilized cash
(19)(221)— (240)
Utilized non cash
— — — — 
Foreign currency changes(4)(5)— (9)
Balance, end of period$56 $521 

$— $577 
Three months ended September 26, 2021
Employee Termination BenefitsContract Terminations
& Other
Non-Current Asset AdjustmentsTotal
Balance, beginning of period$1,246 $2,084 $— $3,330 
Restructuring (benefit) expense(165)807 (27)615 
Utilized cash
(397)(1,197)— (1,594)
Utilized non cash
— — 27 27 
Foreign currency changes(7)(21)— (28)
Balance, end of period$677 $1,673 

$— $2,350 
Nine months ended September 25, 2022
Employee Termination BenefitsContract Terminations
& Other
Non-Current Asset AdjustmentsTotal
Balance, beginning of period$121 $2,874 $— $2,995 
Restructuring benefit— (389)— (389)
Utilized cash
(55)(1,949)— (2,004)
Utilized non cash
— — — — 
Foreign currency changes(10)(15)— (25)
Balance, end of period$56 $521 

$— $577 
Nine months ended September 26, 2021
Employee Termination BenefitsContract Terminations
& Other
Non-Current Asset AdjustmentsTotal
Balance, beginning of period$7,724 $16,196 $— $23,920 
Restructuring (benefit) expense(1,131)2,576 (278)1,167 
Utilized cash
(5,743)(16,987)— (22,730)
Utilized non cash
— — 278 278 
Foreign currency changes(173)(112)— (285)
Balance, end of period$677 $1,673 

$— $2,350