v3.26.1
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 27, 2026
Jun. 28, 2025
Operating activities    
Net loss $ (114,224) $ (395,131)
Adjustments to reconcile net loss to cash provided by operating activities:    
Income from discontinued operations 0 (2,670)
Depreciation and amortization 65,450 62,438
Temiscaming HPC permanent idling charges - accelerated depreciation 34,494 0
Temiscaming HPC permanent idling charges - other asset adjustments 6,389 0
Asset impairment 13,037 0
Stock-based compensation expense 1,579 3,255
Deferred income tax expense (benefit) (6,096) 332,705
Increase in environmental liabilities 3,094 14,406
Change in fair value of put option liability 2,934 1,052
Net periodic benefit cost of pension and other postretirement plans (147) 1,274
Unrealized (gain) loss on foreign currency (2,296) 4,343
Loss on disposal of property, plant and equipment 288 646
Gain on insurance recoveries (5,443) 0
Other 4,729 4,078
Changes in operating assets and liabilities:    
Accounts receivable 13,032 66,487
Inventory 40,669 (20,604)
Accounts payable 3,602 1,786
Accrued and other current liabilities 4,347 (26,789)
Other (24,662) (33,732)
Contributions to pension and other postretirement plans (3,835) (4,106)
Cash provided by operating activities 36,941 9,438
Cash provided by operating activities 36,941 9,438
Investing activities    
Capital expenditures, net of proceeds from sale of property, plant and equipment (47,355) (74,980)
Insurance recoveries on property damage 2,000 0
Cash used in investing activities (45,355) (74,980)
Financing activities    
Borrowings of long-term debt 357,798 155,750
Repayments of long-term debt (357,932) (149,500)
Short-term financing, net (5,836) (2,319)
Debt issuance costs (387) 0
Repurchase of common stock (2,145) (3,018)
Cash provided by (used in) financing activities (8,502) 913
Net decrease in cash and cash equivalents (16,916) (64,629)
Net effect of foreign exchange on cash and cash equivalents (1,468) 10,086
Balance, beginning of period 75,393 125,222
Balance, end of period 57,009 70,679
Supplemental cash flow information:    
Interest paid (23,027) (34,208)
Income taxes (paid) refunded, net (284) 231
Capital assets purchased on account 29,624 29,851
Operating lease ROU assets obtained in exchange for lease liabilities $ 716 $ 770