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Long-Term Debt - Schedule of Debt Covenant, Net Leverage Ratio Schedule (Details) - Amended Credit Agreement With Bank of America - Credit Agreement
Nov. 25, 2025
Revolving Line of Credit  
Maximum net leverage ratio 4.00
Debt Instrument, Covenant Period One  
Revolving Line of Credit  
Maximum net leverage ratio 4.50
Debt Instrument, Covenant Period Two  
Revolving Line of Credit  
Maximum net leverage ratio 4.50
Debt Instrument, Covenant Period Three  
Revolving Line of Credit  
Maximum net leverage ratio 4.00
Debt Instrument, Covenant Period Four  
Revolving Line of Credit  
Maximum net leverage ratio 3.75
Debt Instrument, Covenant Period Five  
Revolving Line of Credit  
Maximum net leverage ratio 3.50