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Indebtedness and Interest Expense (Tables)
12 Months Ended
Dec. 30, 2018
Debt Disclosure [Abstract]  
Schedule of Debt
 Our long-term debt consisted of the following for the periods presented:
 
December 30,
2018
 
December 31,
2017
 
(in thousands)
Term loan facility
$
723,900

 
$
731,500

Senior notes
255,000

 
255,000

     Total debt outstanding
978,900

 
986,500

Less:
 
 
 
    Unamortized original issue discount
(1,153
)
 
(1,694
)
    Deferred financing costs, net
(8,633
)
 
(11,993
)
    Current portion
(7,600
)
 
(7,600
)
Bank indebtedness and other long-term debt, less current portion
$
961,514

 
$
965,213


We were in compliance with the debt covenants in effect as of December 30, 2018 for both the secured credit facilities and the senior notes. For further discussion regarding the debt covenants, see Secured Credit Facilities and Senior Unsecured Notes sections below.
Schedule of Future Debt Payment Obligations
The following table sets forth our future debt payment obligations as of December 30, 2018 (in thousands):
One year or less
$
7,600

Two years
7,600

Three years
708,700

Four years
255,000

Five years

 
978,900

Less: debt financing costs, net
(8,633
)
Less: unamortized discount
(1,153
)
 
$
969,114

Schedule of Interest Expense
Interest expense consisted of the following for the periods presented:
 
Fiscal Year Ended
 
December 30,
2018
 
December 31, 2017
 
January 1,
2017
 
(in thousands)
Term loan facility (1)
$
39,065

 
$
31,549

 
$
30,987

Senior notes
20,330

 
20,330

 
19,774

Capital lease obligations
1,643

 
1,695

 
1,749

Sale leaseback obligations
10,488

 
10,585

 
10,714

Amortization of debt issuance costs
3,803

 
4,005

 
4,005

Other
954

 
951

 
516

Total interest expense
$
76,283

 
$
69,115

 
$
67,745

 __________________
(1)    Includes amortization of original issue discount