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Financial Instruments and Derivatives - Schedule of Net Positions of Foreign Contracts (Details) - Sep. 28, 2025 - Cash Flow Hedging - Derivatives designated as hedging instruments:
₺ in Thousands, € in Thousands, £ in Thousands, zł in Thousands, kr in Thousands, kr in Thousands, SFr in Thousands, Kč in Thousands, Ft in Thousands, $ in Thousands, $ in Thousands, $ in Thousands, $ in Thousands
COP ($)
MXN ($)
DKK (kr)
PLN (zł)
CZK (Kč)
TRY (₺)
EUR (€)
CAD ($)
SEK (kr)
GBP (£)
HUF (Ft)
CHF (SFr)
USD ($)
USD Contracts                          
Derivative [Line Items]                          
Purchase position of derivatives $ 6,855,645 $ 103,800 kr 40,513 zł 37,994 Kč 28,535 ₺ 37,938 € 984 $ 417          
Sell position of derivatives                 kr (1,712) £ (3,345)      
Euro Contracts                          
Derivative [Line Items]                          
Purchase position of derivatives       zł 49,379           £ 5,326 Ft 1,236,677 SFr 2,274 $ 1,590