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SEGMENT REPORTING (Tables)
12 Months Ended
Dec. 31, 2025
Segment Reporting [Abstract]  
Schedule of Segment Reporting Information, by Segment
202520242023
Segment revenue(1)
$1,445,306 $1,252,608 $1,087,533 
Less:
Food and paper costs396,714 339,940 305,041 
Labor and related expenses360,693 338,750 304,254 
Other operating expenses(2)
212,677 178,381 149,449 
Occupancy and related expenses106,632 93,069 79,846 
General and administrative expenses
176,233 149,047 129,542 
Depreciation and amortization expense106,600 102,468 91,242 
Pre-opening costs18,001 15,547 19,231 
Impairments, loss on disposal of assets, and Shack closures5,248 32,368 3,007 
Interest expense2,159 2,045 1,717 
Income tax expense (benefit)22,903 3,424 (4,010)

Other (income) loss, net(3)
(12,260)(13,251)(12,776)
Segment income (loss)
49,706 10,820 20,990 
Reconciliation of profit or loss:
Adjustments and reconciling items— — — 
Consolidated net income (loss)
$49,706 $10,820 $20,990 
December 31
2025
December 25
2024
Total Assets$1,896,209 $1,696,971 
(1)Refer to Note 20, for geographic information and breakdown of revenue and long-lived assets by geographic area.
(2)Other operating expenses consist of delivery commissions, Shack-level marketing expenses, repairs and maintenance, utilities, and other operating expenses incidental to operating our Company-operated Shacks, such as non-perishable supplies, credit card fees, and property insurance.
(3)Other (income) loss, net primarily includes interest and dividend income, adjustments to liabilities under the Tax Receivable Agreement, and net unrealized and realized gains and losses from marketable securities. Interest income was $165, $761 and $2,443, respectively in fiscal 2025, 2024 and 2023.