Quarterly report pursuant to Section 13 or 15(d)

CAPITAL AND ACCUMULATED OTHER COMPREHENSIVE LOSS (Tables)

v3.24.0.1
CAPITAL AND ACCUMULATED OTHER COMPREHENSIVE LOSS (Tables)
9 Months Ended
Dec. 30, 2023
Equity [Abstract]  
Schedule of Deferred Components of OCI Reported, Net of Related Income Taxes, in Accumulated OCI in Stockholders' Equity and Changes in Accumulated OCI The deferred components of other comprehensive income (loss) are reported, net of related income taxes, in accumulated OCL in stockholders’ equity, as follows:
(In thousands) December 2023 March 2023 December 2022
Foreign currency translation and other $ (856,853) $ (859,651) $ (841,877)
Defined benefit pension plans (155,701) (167,692) (164,346)
Derivative financial instruments (38,819) 7,825  76,635 
Accumulated other comprehensive loss $ (1,051,373) $ (1,019,518) $ (929,588)
The changes in accumulated OCL, net of related taxes, were as follows:
  Three Months Ended December 2023
(In thousands) Foreign Currency Translation and Other Defined Benefit Pension Plans Derivative Financial Instruments Total
Balance, September 2023 $ (878,089) $ (155,638) $ 22,022  $ (1,011,705)
Other comprehensive income (loss) before reclassifications
21,236  (3,002) (61,585) (43,351)
Amounts reclassified from accumulated other comprehensive loss
—  2,939  744  3,683 
Net other comprehensive income (loss)
21,236  (63) (60,841) (39,668)
Balance, December 2023 $ (856,853) $ (155,701) $ (38,819) $ (1,051,373)
  Three Months Ended December 2022
(In thousands) Foreign Currency Translation and Other Defined Benefit Pension Plans Derivative Financial Instruments Total
Balance, September 2022 $ (883,846) $ (166,545) $ 206,226  $ (844,165)
Other comprehensive income (loss) before reclassifications
41,969  (850) (101,665) (60,546)
Amounts reclassified from accumulated other comprehensive loss
—  3,049  (27,926) (24,877)
Net other comprehensive income (loss)
41,969  2,199  (129,591) (85,423)
Balance, December 2022 $ (841,877) $ (164,346) $ 76,635  $ (929,588)
Nine Months Ended December 2023
(In thousands) Foreign Currency Translation and Other Defined Benefit Pension Plans Derivative Financial Instruments Total
Balance, March 2023 $ (859,651) $ (167,692) $ 7,825  $ (1,019,518)
Other comprehensive income (loss) before reclassifications 2,798  762  (30,144) (26,584)
Amounts reclassified from accumulated other comprehensive loss —  11,229  (16,500) (5,271)
Net other comprehensive income (loss) 2,798  11,991  (46,644) (31,855)
Balance, December 2023 $ (856,853) $ (155,701) $ (38,819) $ (1,051,373)
  Nine Months Ended December 2022
(In thousands) Foreign Currency Translation and Other Defined Benefit Pension Plans Derivative Financial Instruments Total
Balance, March 2022 $ (751,632) $ (230,290) $ 55,343  $ (926,579)
Other comprehensive income (loss) before reclassifications (90,245) (11,226) 68,719  (32,752)
Amounts reclassified from accumulated other comprehensive loss —  77,170  (47,427) 29,743 
Net other comprehensive income (loss) (90,245) 65,944  21,292  (3,009)
Balance, December 2022 $ (841,877) $ (164,346) $ 76,635  $ (929,588)
Schedule of Reclassifications Out of Accumulated OCI
Reclassifications out of accumulated OCL were as follows:
(In thousands) Three Months Ended December Nine Months Ended December
Details About Accumulated Other Comprehensive Loss Components Affected Line Item in the Consolidated Statements of Operations
2023 2022 2023 2022
Amortization of defined benefit pension plans:
Net deferred actuarial losses
Other income (expense), net $ (4,106) $ (3,858) $ (12,508) $ (11,532)
Deferred prior service credits
Other income (expense), net 136  112  408  335 
Pension settlement charges
Other income (expense), net (131) (695) (3,430) (93,597)
Total before tax
(4,101) (4,441) (15,530) (104,794)
Tax benefit
1,162  1,392  4,301  27,624 
Net of tax
(2,939) (3,049) (11,229) (77,170)
Gains (losses) on derivative financial instruments:
Foreign exchange contracts
Net revenues (794) 782  (220) (9,173)
Foreign exchange contracts
Cost of goods sold (2,697) 33,816  14,777  68,830 
Foreign exchange contracts
Selling, general and administrative expenses 833  1,816  3,141  5,380 
Foreign exchange contracts
Other income (expense), net 536  (3,536) (725) (9,065)
Interest rate contracts
Interest expense 1,210  27  3,033  81 
Total before tax
(912) 32,905  20,006  56,053 
Tax expense
168  (4,979) (3,506) (8,626)
Net of tax
(744) 27,926  16,500  47,427 
Total reclassifications for the period, net of tax $ (3,683) $ 24,877  $ 5,271  $ (29,743)