Quarterly report pursuant to Section 13 or 15(d)

Supplemental Equity Information (Tables)

v3.19.1
Supplemental Equity Information (Tables)
6 Months Ended
Mar. 30, 2019
Equity [Abstract]  
Summary of Changes in Carrying Amounts of Equity Attributable to Controlling Interest and Noncontrolling Interest
The following table provides a summary of the changes in the carrying amounts of equity attributable to controlling interest and noncontrolling interest through the six months ended March 30, 2019 and March 31, 2018.


Controlling Interest




(in thousands)

Common
Stock

Class A
Common
Stock

Class
B
Stock

Additional
Paid In
Capital

Retained
Earnings

Accumulated
Other
Comprehensive
Income (Loss)

Total

Noncontrolling
Interest

Total
September 29, 2018

$
121


$
439


$
16


$
590,168


$
362,923


$
(1,218
)

$
952,449


$
385


$
952,834

Comprehensive income









1,803


(274
)

1,529


(164
)

1,365

Amortization of share-based awards







2,261






2,261




2,261

Restricted share activity, including net share settlement







(386
)





(386
)



(386
)
Issuance of common stock, including net share settlement of stock options



1




408






409




409

Balance December 29, 2018

$
121


$
441


$
16


$
592,451


$
364,726


$
(1,492
)

$
956,263


$
221


$
956,484

Comprehensive income

$


$


$


$


42,391


212


42,603


331


$
42,934

Amortization of share-based awards







2,473






2,473




2,473

Restricted share activity, including net share settlement



2




(1,773
)





(1,771
)



(1,771
)
Issuance of common stock, including net share settlement of stock options



1




(820
)





(819
)



(819
)
Other
 

 

 

 

 

 

 

 
1

 
1

Balance March 30, 2019

$
121


$
444


$
16


$
592,331


$
407,117


$
(1,280
)

$
998,749


$
553


$
999,302



 

Controlling Interest

 

 
(in thousands)

Common Stock

Class A Common Stock

Class B Stock

Additional Paid In Capital

Retained Earnings

Accumulated Other Comprehensive Income (Loss)

Total

Noncontrolling Interest

Total
Balance September 30, 2017

$
122


$
380


$
16


$
396,790


$
239,329


$
(951
)

$
635,686


$
1,456


$
637,142

Comprehensive income









26,247


44


26,291


203


26,494

Amortization of share-based awards







2,143






2,143




2,143

Restricted share activity, including net share settlement







(2,397
)





(2,397
)



(2,397
)
Issuance of common stock, including net share settlement of stock options







166






166




166

Distribution to Noncontrolling interest















(1,597
)

(1,597
)
Balance December 30, 2017

$
122


$
380


$
16


$
396,702


$
265,576


$
(907
)

$
661,889


$
62


$
661,951

Comprehensive income

$


$


$


$


45,234


234


45,468


532


46,000

Amortization of share-based awards







2,321






2,321




2,321

Restricted share activity, including net share settlement

(1
)





(3,873
)





(3,874
)



(3,874
)
Issuance of common stock, including net share settlement of stock options



2




(1,298
)





(1,296
)



(1,296
)
Distribution to Noncontrolling interest


















Balance March 31, 2018

$
121


$
382


$
16


$
393,852


$
310,810


$
(673
)

$
704,508


$
594


$
705,102