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FAIR VALUE MEASUREMENTS (Tables)
3 Months Ended
Jan. 02, 2021
Fair Value Disclosures [Abstract]  
Fair Value Measurements, Recurring Basis
The following table summarizes the fair value of the Company’s assets and liabilities for which disclosure of fair value is required: 
JANUARY 2, 2021DECEMBER 28, 2019SEPTEMBER 30, 2020
FAIR VALUE
HIERARCHY
LEVEL
CARRYING
AMOUNT
ESTIMATED
FAIR VALUE
CARRYING
AMOUNT
ESTIMATED
FAIR VALUE
CARRYING
AMOUNT
ESTIMATED
FAIR VALUE
Assets:
Cash equivalentsLevel 1$3.3 $3.3 $2.4 $2.4 $2.4 $2.4 
Other
Investment securities in non-qualified retirement plan assetsLevel 138.7 38.7 25.2 25.2 29.8 29.8 
Bonnie OptionLevel 3— — 11.3 11.3 23.3 23.3 
Liabilities:
Debt instruments
Credit facilities – revolving loansLevel 2599.6 599.6 537.1 537.1 64.0 64.0 
Credit facilities – term loansLevel 2700.0 700.0 750.0 750.0 710.0 710.0 
Senior Notes – 4.500%
Level 2450.0 484.9 450.0 459.6 450.0 476.4 
Senior Notes – 5.250%
Level 2250.0 263.4 250.0 267.5 250.0 266.6 
Receivables facilityLevel 2136.0 136.0 39.0 39.0 20.0 20.0 
Other debtLevel 26.8 6.8 11.5 11.5 1.1 1.1