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Fair Value (Tables)
12 Months Ended
Dec. 27, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Values Measured on Recurring Basis
December 27, 2025Level 1Level 2Level 3Total
Assets:
Cash equivalents:
Money market funds$62,017 $— $— $62,017 
Commercial paper— 500 — 500 
62,017 500 — 62,517 
Marketable securities:
 U.S. treasuries76,626 — — 76,626 
 U.S. agency securities— 12,905 — 12,905 
 Corporate bonds— 74,897 — 74,897 
 Commercial paper— 7,414 — 7,414 
76,626 95,216 — 171,842 
Promissory note receivable— — 1,522 1,522 
Interest rate swap derivative contracts— 1,422 — 1,422 
Total assets$138,643 $97,138 $1,522 $237,303 
December 28, 2024Level 1Level 2Level 3Total
Assets:
Cash equivalents:
Money market funds$131,519 $— $— $131,519 
Marketable securities:
 U.S. treasuries71,252 — — 71,252 
 U.S. agency securities— 13,869 — 13,869 
 Corporate bonds— 83,176 — 83,176 
 Commercial paper— 998 — 998 
71,252 98,043 — 169,295 
Promissory note receivable— — 1,512 1,512 
Interest rate swap derivative contracts— 2,025 — 2,025 
Total assets$202,771 $100,068 $1,512 $304,351 
Liabilities:
Foreign exchange derivative contracts$— $(1,141)$— $(1,141)
Total liabilities$— $(1,141)$— $(1,141)