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IMPAIRMENT, RESTRUCTURING AND OTHER (Tables)
9 Months Ended
Jun. 28, 2025
Restructuring and Related Activities [Abstract]  
Schedules of Impairment, Restructuring and Other Charges, and Activity Related to Liabilities The following table details impairment, restructuring and other charges (recoveries) for each of the periods presented:
Three Months EndedNine Months Ended
June 28,
2025
June 29,
2024
June 28,
2025
June 29,
2024
Cost of sales—impairment, restructuring and other:
Restructuring and other charges (recoveries), net$3.7 $(4.8)$9.2 $59.3 
Right-of-use asset impairments— 2.3 4.5 3.3 
Property, plant and equipment impairments— — 2.4 4.1 
Operating expenses—impairment, restructuring and other:
Restructuring and other charges (recoveries), net2.4 (0.8)22.7 (5.9)
Loss on exchange of convertible debt investment— — 7.0 — 
Total impairment, restructuring and other charges (recoveries), net$6.1 $(3.3)$45.8 $60.8 
The following table summarizes the activity related to liabilities associated with restructuring activities during the nine months ended June 28, 2025:
Amounts accrued at September 30, 2024$18.9 
Restructuring charges31.4 
Payments(26.8)
Amounts accrued at June 28, 2025$23.5