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Debt (Tables)
12 Months Ended
Dec. 27, 2025
Debt Disclosure [Abstract]  
Schedule of Debt
Our debt consisted of the following (in thousands):
December 27, 2025December 28, 2024
Term loan$12,258 $13,368 
Less unamortized issuance costs(50)(54)
Term loan less issuance costs$12,208 $13,314 
Schedule of Maturities of Long-term Debt
Future principal and interest payments on our term loan and Revolver as of December 27, 2025, based on the interest rate in effect at that date were as follows (in thousands):
Payments Due In Fiscal Year
202620272028202920302031 and thereafterTotal
Term loan - principal payments$1,142 $1,175 $1,208 $1,242 $1,278 $6,213 $12,258 
Term loans - interest payments(1)
683 615 548 477 400 845 3,568 
Revolver - commitment fee(2)
228 228 232 228 131 — 1,047 
$2,053 $2,018 $1,988 $1,947 $1,809 $7,058 $16,873 
(1) Represents our minimum interest payment commitment at 5.74% per annum, excluding the interest rate swap described above.
(2) Represents our quarterly commitment fee of 0.15% on the daily amount by which the commitments under the Facility exceed the outstanding amount. This commitment assumes no borrowings.