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Financial Instruments and Derivatives - Schedule of Net Positions of Foreign Contracts (Details) - Sep. 29, 2024 - Cash Flow Hedging - Derivatives Designated as Hedging Instruments
₺ in Thousands, € in Thousands, £ in Thousands, zł in Thousands, kr in Thousands, kr in Thousands, R$ in Thousands, Kč in Thousands, $ in Thousands, $ in Thousands, $ in Thousands
COP ($)
MXN ($)
PLN (zł)
DKK (kr)
SEK (kr)
CZK (Kč)
CAD ($)
EUR (€)
TRY (₺)
BRL (R$)
GBP (£)
Derivative [Line Items]                      
Purchase position of derivatives $ 5,942,202 $ 140,315 zł 32,938 kr 11,593   Kč 25,869 $ 8,239 € 593 ₺ 11,092 R$ 13,088  
Sell position of derivatives         kr (2,124)           £ (331)