(Q1)Sep 26, 2024 | (FY)Jun 27, 2024 | (Q4)Jun 27, 2024 | (Q3)Mar 28, 2024 | (Q2)Dec 28, 2023 | (Q1)Sep 28, 2023 | (FY)Jun 29, 2023 | (Q4)Jun 29, 2023 | (Q3)Mar 30, 2023 | (Q2)Dec 29, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -47.26%442K | -75.15%484K | -75.15%484K | 3.29%377K | 218.55%1.98M | 181.21%838K | 369.40%1.95M | 369.40%1.95M | -45.28%365K | -39.63%620K |
-Cash and cash equivalents | -47.26%442K | -75.15%484K | -75.15%484K | 3.29%377K | 218.55%1.98M | 181.21%838K | 369.40%1.95M | 369.40%1.95M | -45.28%365K | -39.63%620K |
Receivables | 22.56%83.79M | 16.81%84.96M | 16.81%84.96M | 1.48%75.64M | 6.88%77.42M | -10.52%68.36M | 4.49%72.73M | 4.49%72.73M | 8.49%74.53M | 11.38%72.43M |
-Accounts receivable | 22.56%83.79M | 16.81%84.96M | 16.81%84.96M | 1.48%75.64M | 6.88%77.42M | -10.52%68.36M | 4.49%72.73M | 4.49%72.73M | 8.49%74.53M | 11.38%72.43M |
Inventory | 11.31%194.57M | 13.66%196.56M | 13.66%196.56M | 10.68%210.67M | 14.02%197.34M | -9.01%174.79M | -15.58%172.94M | -15.58%172.94M | -9.84%190.35M | -3.17%173.08M |
Other current assets | 14.36%8.7M | 77.30%12.08M | 77.30%12.08M | 3.34%9.64M | 11.52%13.04M | 12.70%7.6M | -17.76%6.81M | -17.76%6.81M | 21.85%9.33M | -8.39%11.69M |
Total current assets | 14.27%287.49M | 15.59%294.09M | 15.59%294.09M | 7.92%296.32M | 12.39%289.77M | -8.69%251.59M | -10.15%254.43M | -10.15%254.43M | -4.71%274.58M | 0.10%257.82M |
Non current assets | ||||||||||
Net PPE | 45.55%189.74M | 40.40%178.62M | 40.40%178.62M | 21.33%155.72M | 23.66%154.33M | 5.72%130.36M | 6.57%127.22M | 6.57%127.22M | 6.95%128.35M | 3.33%124.8M |
-Gross PPE | 19.86%481.57M | 18.05%465.79M | 18.05%465.79M | 11.61%437.59M | 12.21%431.32M | 5.94%401.77M | 6.13%394.56M | 6.13%394.56M | 6.15%392.07M | 4.92%384.4M |
-Accumulated depreciation | -7.52%-291.84M | -7.42%-287.17M | -7.42%-287.17M | -6.88%-281.87M | -6.70%-276.99M | -6.04%-271.42M | -5.93%-267.34M | -5.93%-267.34M | -5.76%-263.72M | -5.70%-259.6M |
Goodwill and other intangible assets | -4.31%17.19M | -4.54%17.57M | -4.54%17.57M | -4.76%17.95M | -6.42%18.33M | 4.02%17.97M | 3.91%18.41M | 3.91%18.41M | 3.81%18.85M | 5.31%19.59M |
-Goodwill | 0.00%11.75M | 0.00%11.75M | 0.00%11.75M | 0.00%11.75M | -2.33%11.75M | 21.76%11.75M | 21.76%11.75M | 21.76%11.75M | 21.76%11.75M | 24.66%12.03M |
-Other intangible assets | -12.47%5.44M | -12.56%5.82M | -12.56%5.82M | -12.63%6.2M | -12.92%6.58M | -18.44%6.22M | -17.45%6.66M | -17.45%6.66M | -16.56%7.1M | -15.55%7.56M |
Non current deferred assets | 6.33%3.68M | -12.86%3.13M | -12.86%3.13M | -72.58%651K | -78.45%562K | 7.12%3.46M | 11.00%3.59M | 11.00%3.59M | -53.49%2.37M | -39.41%2.61M |
Other non current assets | 8.59%7.6M | 19.30%8.29M | 19.30%8.29M | 19.41%7.2M | 19.37%7.19M | 14.04%7M | -15.99%6.95M | -15.99%6.95M | -6.84%6.03M | -37.14%6.02M |
Total non current assets | 33.83%231.88M | 29.63%221.49M | 29.63%221.49M | 14.73%195.61M | 15.81%194.69M | 4.86%173.26M | 4.12%170.86M | 4.12%170.86M | 3.06%170.49M | -0.62%168.11M |
Total assets | 22.25%519.37M | 21.23%515.58M | 21.23%515.58M | 10.53%491.93M | 13.74%484.46M | -3.61%424.85M | -4.91%425.29M | -4.91%425.29M | -1.88%445.06M | -0.19%425.93M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 14.74%59.58M | 25.20%53.44M | 25.20%53.44M | 21.75%51.46M | 27.59%62.96M | 1.37%51.92M | -10.56%42.68M | -10.56%42.68M | -13.60%42.26M | -22.24%49.34M |
-accounts payable | 14.74%59.58M | 25.20%53.44M | 25.20%53.44M | 21.75%51.46M | 27.59%62.96M | 1.37%51.92M | -10.56%42.68M | -10.56%42.68M | -13.60%42.26M | -22.24%49.34M |
Current accrued expenses | 3.21%30.98M | 20.81%50.8M | 20.81%50.8M | 10.18%34.77M | 9.25%31.08M | 0.75%30.01M | 34.61%42.05M | 34.61%42.05M | 22.50%31.55M | 9.79%28.45M |
Current debt and capital lease obligation | 569.14%49.28M | 2,167.71%21.7M | 2,167.71%21.7M | 18.05%34.17M | 30.39%34.26M | -83.69%7.37M | -97.82%957K | -97.82%957K | -59.32%28.94M | -36.64%26.27M |
-Current debt | 569.14%49.28M | 2,167.71%21.7M | 2,167.71%21.7M | 18.05%34.17M | 30.39%34.26M | -83.69%7.37M | -97.82%957K | -97.82%957K | -59.32%28.94M | -36.64%26.27M |
Current liabilities | 56.59%139.83M | 46.98%125.94M | 46.98%125.94M | 17.16%120.39M | 23.28%128.29M | -29.22%89.3M | -30.20%85.69M | -30.20%85.69M | -29.53%102.76M | -20.46%104.06M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 159.83%31.34M | 163.13%31.24M | 163.13%31.24M | -0.60%12.11M | 33.25%11.88M | 36.21%12.06M | 34.16%11.87M | 34.16%11.87M | 32.78%12.18M | -14.64%8.92M |
-Long term debt | -10.90%6.17M | -10.38%6.37M | -10.38%6.37M | -9.91%6.56M | -9.45%6.74M | -9.04%6.92M | -8.64%7.1M | -8.64%7.1M | -8.28%7.28M | -16.74%7.45M |
-Long term capital lease obligation | 390.01%25.17M | 421.42%24.88M | 421.42%24.88M | 13.21%5.55M | 249.25%5.14M | 313.53%5.14M | 343.40%4.77M | 343.40%4.77M | 295.25%4.91M | -2.13%1.47M |
Employee benefits | 0.44%34.24M | -0.43%33.83M | -0.43%33.83M | 18.60%34.95M | 18.87%34.63M | 18.57%34.09M | -6.79%33.97M | -6.79%33.97M | -17.99%29.47M | -18.16%29.13M |
Other non current liabilities | 55.09%3.15M | 26.41%1.95M | 26.41%1.95M | -68.01%2.67M | -70.34%2.42M | -74.04%2.03M | 305.51%1.55M | 305.51%1.55M | 5.79%8.33M | 1.30%8.16M |
Total non current liabilities | 42.64%68.73M | 41.42%67.02M | 41.42%67.02M | -0.52%49.73M | 5.90%48.93M | 6.05%48.19M | 3.75%47.39M | 3.75%47.39M | -5.66%49.98M | -14.58%46.21M |
Total liabilities | 51.70%208.56M | 45.00%192.96M | 45.00%192.96M | 11.37%170.12M | 17.94%177.22M | -19.88%137.49M | -20.99%133.08M | -20.99%133.08M | -23.17%152.74M | -18.74%150.27M |
Shareholders'equity | ||||||||||
Share capital | 0.00%117K | 0.00%117K | 0.00%117K | 0.00%117K | 0.00%117K | 0.86%117K | 0.86%117K | 0.86%117K | 0.86%117K | 0.86%117K |
-common stock | 0.00%117K | 0.00%117K | 0.00%117K | 0.00%117K | 0.00%117K | 0.86%117K | 0.86%117K | 0.86%117K | 0.86%117K | 0.86%117K |
Retained earnings | 11.73%174.22M | 15.76%186.97M | 15.76%186.97M | 14.83%188.57M | 17.92%175.1M | 8.92%155.93M | 5.16%161.51M | 5.16%161.51M | 20.59%164.22M | 19.46%148.49M |
Paid-in capital | 2.93%136.63M | 2.81%135.69M | 2.81%135.69M | 2.19%134.53M | 2.07%133.43M | 2.44%132.73M | 2.47%131.99M | 2.47%131.99M | 2.92%131.65M | 2.87%130.73M |
Less: Treasury stock | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M | 0.00%1.2M |
Gains losses not affecting retained earnings | 611.76%1.04M | 611.76%1.04M | 611.76%1.04M | 91.72%-204K | 91.74%-204K | 91.75%-204K | 91.77%-204K | 91.77%-204K | 70.02%-2.46M | 70.91%-2.47M |
Total stockholders'equity | 8.16%310.8M | 10.41%322.61M | 10.41%322.61M | 10.09%321.81M | 11.45%307.24M | 6.76%287.37M | 4.80%292.21M | 4.80%292.21M | 14.73%292.32M | 14.00%275.66M |
Total equity | 8.16%310.8M | 10.41%322.61M | 10.41%322.61M | 10.09%321.81M | 11.45%307.24M | 6.76%287.37M | 4.80%292.21M | 4.80%292.21M | 14.73%292.32M | 14.00%275.66M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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