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Fair Values of Financial Instruments (Tables)
12 Months Ended
Sep. 27, 2025
Fair Values of Financial Instruments [Abstract]  
Carrying Amount and Fair Value of Debt, Interest Rate Swap and Non-Qualified Plan Assets

Carrying

Amount

Fair Value

Fair Value Measurements

Senior Notes due 2031

  

$

350,000

  

$

327,250

Level 2

Facility Bonds due 2036

  

45,380

  

  

45,380

Level 2

Secured notes payable and other

  

119,387

  

  

119,387

Level 2

Interest rate swaps derivative contract asset

7,416

7,416

Level 2

Non-qualified retirement plan assets

  

29,881

  

29,881

Level 2

The carrying amount and fair value of the Company’s debt, interest rate swaps, and non-qualified plan assets at September 28, 2024 were as follows (in thousands):

Carrying

  

Amount

Fair Value

Fair Value Measurements

Senior Notes due 2031

$

350,000

  

$

317,625

Level 2

Facility Bonds due 2036

49,910

  

  

49,910

Level 2

Secured notes payable and other

132,712

  

  

132,712

Level 2

Interest rate swaps derivative contract assets

8,931

8,931

Level 2

Non-qualified retirement plan assets

27,126

  

27,126

Level 2