v3.26.1
Condensed Consolidated Statements of Stockholders’ Equity (Unaudited) - USD ($)
$ in Thousands
Total
Common Stock
Additional Paid-In Capital
Accumulated Other Comprehensive Income (Loss)
Retained Earnings
Treasury Stock
Balance at beginning of period (in shares) at Dec. 28, 2024   78,775,000        
Balance at beginning of period at Dec. 28, 2024 $ 816,333 $ 854 $ 807,048 $ 0 $ 226,117 $ (217,686)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Issuance of common stock (in shares) [1]   403,000        
Issuance of common stock [1] 265 $ 4 261      
Stock-based compensation 7,000   7,000      
Purchase of treasury stock (in shares)   (128,000)        
Purchase of treasury stock (1,624)         (1,624)
Unrealized gain on hedge instruments, net of tax 0          
Net income 14,186       14,186  
Balance at end of period (in shares) at Mar. 29, 2025   79,050,000        
Balance at end of period at Mar. 29, 2025 836,160 $ 858 814,309 0 240,303 (219,310)
Balance at beginning of period (in shares) at Dec. 28, 2024   78,775,000        
Balance at beginning of period at Dec. 28, 2024 816,333 $ 854 807,048 0 226,117 (217,686)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net income 22,911          
Balance at end of period (in shares) at Jun. 28, 2025   79,175,000        
Balance at end of period at Jun. 28, 2025 850,581 $ 859 820,059 0 249,028 (219,365)
Balance at beginning of period (in shares) at Mar. 29, 2025   79,050,000        
Balance at beginning of period at Mar. 29, 2025 836,160 $ 858 814,309 0 240,303 (219,310)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Issuance of common stock (in shares) [1]   130,000        
Issuance of common stock [1] 471 $ 1 470      
Stock-based compensation 5,280   5,280      
Purchase of treasury stock (in shares)   (5,000)        
Purchase of treasury stock (55)         (55)
Unrealized gain on hedge instruments, net of tax 0          
Net income 8,725       8,725  
Balance at end of period (in shares) at Jun. 28, 2025   79,175,000        
Balance at end of period at Jun. 28, 2025 $ 850,581 $ 859 820,059 0 249,028 (219,365)
Balance at beginning of period (in shares) at Jan. 03, 2026 79,416,050 79,416,000        
Balance at beginning of period at Jan. 03, 2026 $ 869,533 $ 862 834,000 (121) 255,717 (220,925)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Issuance of common stock (in shares) [2]   1,088,000        
Issuance of common stock [2] 501 $ 11 490      
Stock-based compensation 6,995   6,995      
Purchase of treasury stock (in shares)   (389,000)        
Purchase of treasury stock (10,519)         (10,519)
Unrealized gain on hedge instruments, net of tax 315     315    
Net income 31,181       31,181  
Balance at end of period (in shares) at Apr. 04, 2026   80,115,000        
Balance at end of period at Apr. 04, 2026 $ 898,006 $ 873 841,485 194 286,898 (231,444)
Balance at beginning of period (in shares) at Jan. 03, 2026 79,416,050 79,416,000        
Balance at beginning of period at Jan. 03, 2026 $ 869,533 $ 862 834,000 (121) 255,717 (220,925)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net income $ 43,597          
Balance at end of period (in shares) at Jul. 04, 2026 79,058,038 79,058,000        
Balance at end of period at Jul. 04, 2026 $ 896,996 $ 874 848,147 323 299,314 (251,662)
Balance at beginning of period (in shares) at Apr. 04, 2026   80,115,000        
Balance at beginning of period at Apr. 04, 2026 898,006 $ 873 841,485 194 286,898 (231,444)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Issuance of common stock (in shares) [2]   107,000        
Issuance of common stock [2] 320 $ 1 319      
Stock-based compensation 6,343   6,343      
Purchase of treasury stock (in shares)   (1,164,000)        
Purchase of treasury stock (20,218)         (20,218)
Unrealized gain on hedge instruments, net of tax 129     129    
Net income $ 12,416       12,416  
Balance at end of period (in shares) at Jul. 04, 2026 79,058,038 79,058,000        
Balance at end of period at Jul. 04, 2026 $ 896,996 $ 874 $ 848,147 $ 323 $ 299,314 $ (251,662)
[1]
(1) Consists primarily of the vesting of shares issued under the Company’s stock incentive plans and Associate Share Purchase Plan.
[2]
(1) Consists primarily of the vesting of shares issued under the Company’s stock incentive plans and Associate Share Purchase Plan.