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Debt Obligations (Tables)
6 Months Ended
Jun. 24, 2022
Debt Disclosure [Abstract]  
Schedule of debt obligations
Debt obligations as of June 24, 2022 and December 24, 2021 consisted of the following:
June 24, 2022December 24, 2021
Senior secured term loans$167,819 $168,675 
Convertible senior notes200,000 200,000 
Asset-based loan facility20,000 20,000 
Finance lease and other financing obligations10,201 11,602 
Convertible unsecured note4,000 4,000 
Deferred finance fees and original issue premium (discount)(4,197)(4,976)
Total debt obligations397,823 399,301 
Less: current installments(4,843)(5,141)
Total debt obligations excluding current installments$392,980 $394,160 
Schedule of convertible senior notes
The net carry value of the Company’s Convertible Senior Notes as of June 24, 2022 and December 24, 2021 was:

June 24, 2022December 24, 2021
Principal amount outstanding$200,000 $200,000 
Unamortized deferred financing fees and premium(2,238)(2,686)
Net carry value$197,762 $197,314 
Schedule of components of interest expense
The components of interest expense on the Company’s Convertible Senior Notes were as follows:
 Thirteen Weeks EndedTwenty-Six Weeks Ended
 June 24, 2022June 25, 2021June 24, 2022June 25, 2021
Coupon interest$938 $938 $1,875 $1,719 
Amortization of deferred financing fees and premium$224 $224 $448 $465 
Total interest$1,162 $1,162 $2,323 $2,184