Annual report [Section 13 and 15(d), not S-K Item 405]

RESTRUCTURING (Tables)

v3.25.4
RESTRUCTURING (Tables)
12 Months Ended
Jan. 03, 2026
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Charges
The following table presents the restructuring costs included in the Company's statements of operations:
Year Ended December
(In thousands) 2025 2024 2023
Cost of goods sold $ 45,609  $ 15,387  $ 5,780 
Selling, general and administrative expenses 8,678  1,801  5,689 
Total $ 54,287  $ 17,188  $ 11,469 
The following table presents the components of restructuring charges:
Year Ended December
(In thousands) 2025 2024 2023
Severance and employee-related benefits $ 40,808  $ 4,557  $ 7,223 
Asset impairments 4,722  3,603  3,064 
Inventory write-downs 760  4,310  — 
Other 7,997  4,718  1,182 
Total restructuring charges $ 54,287  $ 17,188  $ 11,469 
The following table presents the restructuring costs by business segment:
Year Ended December
(In thousands) 2025 2024 2023
Wrangler $ 2,177  $ 15,080  $ 4,564 
Lee —  40  43 
Corporate and other 52,110  2,068  6,862 
Total $ 54,287  $ 17,188  $ 11,469 
Schedule of Activity in Restructuring Accrual
The following table presents activity in the restructuring accrual, primarily related to severance and employee-related benefits, for the years ended December 2025 and December 2024:
(In thousands)
Accrual at December 2023 $ 827 
Charges(a)
7,717 
Cash payments (6,323)
Adjustments to accruals (318)
Currency translation (8)
Accrual at December 2024 $ 1,895 
Charges(a)
46,493 
Cash payments (39,517)
Adjustments to accruals (398)
Currency translation 43 
Accrual at December 2025 $ 8,516 

(a) The Company also recorded approximately $7.8 million and $9.5 million of non-cash and other charges for 2025 and 2024, respectively.