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Note 6 - Debt (Tables)
3 Months Ended
Jun. 27, 2026
Notes Tables  
Schedule of Long-Term Debt Instruments [Table Text Block]
   

As of:

 
   

June 27,

   

June 28,

   

March 31,

 
   

2026

   

2025

   

2026

 

Revolving credit facility

  $ 1,000     $ 10,363     $ 1,000  
                         

Term Loan A-2

                       

Outstanding principal

    199,750       264,750       253,500  

Unamortized debt issuance costs

    (387 )     (616 )     (444 )

Term Loan A-2, net

    199,363       264,134       253,056  
                         

Total long-term debt

    200,363       274,497       254,056  

Less current portion

    15,000       15,000       15,000  

Long-term debt, less current portion

  $ 185,363     $ 259,497     $ 239,056  
Schedule of Line of Credit Facilities [Table Text Block]
   

As of:

 
   

June 27,

   

June 28,

   

March 31,

 
   

2026

   

2025

   

2026

 

Outstanding borrowings

  $ 1,000     $ 10,363     $ 1,000  

Interest rate

    4.87 %     5.64 %     4.92 %
   

Three Months Ended

 
   

June 27,

   

June 28,

 
   

2026

   

2025

 

Maximum amount of borrowings drawn during the period

  $ 1,501     $ 15,717  

Average outstanding borrowings

  $ 1,020     $ 3,818  

Weighted average interest rate

    4.97 %     5.61 %