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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) - USD ($)
$ in Thousands
6 Months Ended
Jun. 27, 2026
Jun. 28, 2025
Cash flows relating to operating activities    
Net income (loss) $ (15,562) $ 78,571
Adjustments to reconcile net income (loss) to net cash provided by operating activities:    
Depreciation and amortization 134,441 239,871
Long-lived asset impairments 26,279 31,203
Stock-based compensation 42,162 30,184
Deferred income taxes 12,077 (41,030)
Write down of inventories 3,165 11,067
(Gains) losses and impairments on venture capital and strategic equity investments, net (6,936) 12,899
Gain on sale of assets (38,484) 0
Provision for credit losses 1,124 2,191
(Gain) loss on divestitures, net 181,386 (3,376)
Other, net (12,595) 2,266
Changes in assets and liabilities:    
Trade receivables and contract assets, net (87,135) (18,490)
Inventories 43,747 (13,953)
Accounts payable 21,276 16,241
Accrued compensation (64,858) 38,990
Deferred revenue 5,593 11,306
Customer contract deposits (4,543) 568
Other assets and liabilities, net (20,335) (22,208)
Net cash provided by operating activities 220,802 376,300
Cash flows relating to investing activities    
Acquisition of businesses and assets, net of cash acquired (467,254) 0
Capital expenditures (87,013) (94,622)
Purchases of investments and contributions to venture capital investments (11,805) (8,090)
Proceeds from sale of investments 11,059 2,106
Proceeds from sale of businesses and assets, net 176,563 17,441
Other, net (1,298) 347
Net cash used in investing activities (379,748) (82,818)
Cash flows relating to financing activities    
Proceeds from long-term debt and revolving credit facility 1,265,258 963,363
Payments on long-term debt, revolving credit facility, and finance lease obligations (745,927) (887,706)
Proceeds from exercises of stock options 1,620 1
Purchase of treasury stock (323,881) (360,484)
Payments of contingent consideration (11,400) (21,822)
Purchase of remaining equity interests of other redeemable noncontrolling interest 0 (19,140)
Other, net (2,607) (6,458)
Net cash provided by (used in) financing activities 183,063 (332,246)
Effect of exchange rate changes on cash, cash equivalents, and restricted cash 467 17,934
Net change in cash, cash equivalents, and restricted cash 24,584 (20,830)
Cash, cash equivalents, and restricted cash, beginning of period 215,997 205,570
Cash, cash equivalents, and restricted cash, end of period $ 240,581 $ 184,740