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Basis of Presentation and Summary of Significant Accounting Policies (Tables)
9 Months Ended
Jun. 28, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Components of Comprehensive Income
The summary of the components of comprehensive income is as follows (in thousands):
Three Months Ended
June 28, 2024June 30, 2023
Pre-Tax AmountTax EffectAfter-Tax AmountPre-Tax AmountTax EffectAfter-Tax Amount
Net income$58,121 $338,555 
Foreign currency translation adjustments1,527 — 1,527 8,353 (2,676)5,677 
Fair value of cash flow hedges(8,304)2,159 (6,145)23,825 (6,195)17,630 
Share of equity investee's comprehensive income— — — 11,126 (4,918)6,208 
Other comprehensive (loss) income(6,777)2,159 (4,618)43,304 (13,789)29,515 
Comprehensive income 53,503 368,070 
Less: Net (loss) income attributable to noncontrolling interests(5)71 
Comprehensive income attributable to Aramark stockholders$53,508 $367,999 
Nine Months Ended
June 28, 2024June 30, 2023
Pre-Tax AmountTax EffectAfter-Tax AmountPre-Tax AmountTax EffectAfter-Tax Amount
Net income $139,640 $468,088 
Foreign currency translation adjustments(3,719)— (3,719)56,080 (5,410)50,670 
Fair value of cash flow hedges(46,384)12,060 (34,324)(14,736)3,831 (10,905)
Share of equity investee's comprehensive income— — — 10,616 (4,918)5,698 
Other comprehensive (loss) income (50,103)12,060 (38,043)51,960 (6,497)45,463 
Comprehensive income 101,597 513,551 
Less: Net loss attributable to noncontrolling interests(471)(588)
Comprehensive income attributable to Aramark stockholders$102,068 $514,139 
Schedule of Accumulated Other Comprehensive Loss
Accumulated other comprehensive loss consists of the following (in thousands):
June 28, 2024September 29, 2023
Pension plan adjustments$(9,165)$(14,241)
Foreign currency translation adjustments(170,501)(193,115)
Cash flow hedges74,795 109,119 
$(104,871)$(98,237)