Quarterly report pursuant to Section 13 or 15(d)

Consolidated Statements of Cash Flows (Unaudited)

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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
6 Months Ended
Sep. 26, 2020
Sep. 28, 2019
OPERATING ACTIVITIES    
Net income (loss) $ (28,891) $ 698,222
Income from discontinued operations, net of tax 5,605 7,572
Income (loss) from continuing operations, net of tax (34,496) 690,650
Adjustments to reconcile net income (loss) to cash provided (used) by operating activities:    
Depreciation and amortization 138,853 125,159
Reduction in the carrying amount of right-of-use assets 205,635 186,327
Stock-based compensation 26,113 70,146
Provision for doubtful accounts 15,727 5,767
Pension expense less than contributions (7,953) (6,125)
Other, net 15,852 (99,823)
Changes in operating assets and liabilities:    
Accounts receivable (275,436) (542,150)
Inventories (115,515) (433,360)
Accounts payable 36,019 (169)
Income taxes (40,770) (47,964)
Accrued liabilities 161,785 (123,369)
Operating lease right-of-use assets and liabilities (150,170) (224,750)
Other assets and liabilities 63,866 26,915
Cash provided (used) by operating activities - continuing operations 39,510 (372,746)
Cash provided by operating activities - discontinued operations 43,298 7,268
Cash provided (used) by operating activities 82,808 (365,478)
INVESTING ACTIVITIES    
Purchases of short-term investments (800,000) 0
Capital expenditures (112,501) (104,988)
Software purchases (38,345) (24,712)
Other, net (3,839) 59,558
Cash used by investing activities - continuing operations (954,685) (70,142)
Cash used by investing activities - discontinued operations (2,693) (7,270)
Cash used by investing activities (957,378) (77,412)
FINANCING ACTIVITIES    
Net decrease in short-term borrowings (1,215,575) (168,421)
Payments on long-term debt (768) (2,868)
Payment of debt issuance costs (21,430) 0
Proceeds from long-term debt 2,996,090 0
Cash dividends paid (373,638) (373,604)
Cash received from Kontoor Brands, net of cash transferred of $126.8 million 0 906,148
Proceeds from issuance of Common Stock, net of (payments) for tax withholdings (7,221) 50,659
Cash provided by financing activities 1,377,458 411,914
Effect of foreign currency rate changes on cash, cash equivalents and restricted cash (8,082) (5,385)
Net change in cash, cash equivalents and restricted cash 494,806 (36,361)
Cash, cash equivalents and restricted cash – beginning of year 1,411,322 556,587
Cash, cash equivalents and restricted cash – end of period $ 1,906,128 520,226
Cash Transferred   $ 126,800