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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Oct. 03, 2025
Sep. 27, 2024
Sep. 29, 2023
Cash flows from operating activities:      
Net (loss) income $ (69,900,000) $ (48,300,000) $ 47,900,000
Adjustments to reconcile net (loss) income to net cash provided by operating activities:      
Share-based compensation expense 15,000,000.0 15,300,000 13,500,000
Depreciation 23,200,000 21,200,000 19,500,000
Amortization of intangible assets 4,000,000.0 9,900,000 13,700,000
Deferred taxes (500,000) 38,100,000 (38,700,000)
Loss from equity method investments 2,700,000 2,000,000.0 1,600,000
Impairment of equity method investment 0 0 16,400,000
Amortization of deferred loan costs 2,700,000 2,800,000 2,600,000
Gain on purchase of business 0 (2,100,000) 0
Impairment of goodwill 93,900,000 0 0
Inventory write-down 3,800,000 4,900,000 5,600,000
Other, net (1,800,000) 1,500,000 3,000,000.0
Changes in assets and liabilities:      
Accounts receivable 100,000 6,700,000 9,800,000
Inventories, net (39,900,000) 6,600,000 20,200,000
Prepaid expenses and other assets (3,600,000) 3,300,000 7,000,000.0
Accounts payable 6,200,000 (3,200,000) (15,000,000.0)
Accrued liabilities and other current and long-term liabilities 100,000 (9,100,000) (1,000,000.0)
Deferred revenues 5,700,000 (2,300,000) 2,300,000
Net cash provided by operating activities 41,700,000 47,300,000 108,400,000
Cash flows from investing activities:      
Purchases of property, plant, and equipment (22,900,000) (26,900,000) (20,700,000)
Loss on settlement of cash flow hedge 0 0 (200,000)
Proceeds from sales of marketable debt securities 11,500,000 0 0
Proceeds from maturities of marketable debt securities 50,500,000 58,800,000 28,300,000
Purchase of marketable debt securities (30,600,000) (56,600,000) (52,200,000)
Purchase of marketable equity securities 0 (200,000) (2,700,000)
Purchase of certificates of deposit 0 (4,200,000) (1,000,000.0)
Proceeds from maturities of certificates of deposit 3,400,000 1,800,000 0
Settlement of net investment hedge     7,000,000.0
Settlement of net investment hedge (800,000) 0  
Acquisitions of businesses, net of cash acquired 0 900,000 (1,000,000.0)
Other, net (800,000) (1,100,000) (2,400,000)
Net cash provided by (used in) investing activities 10,300,000 (27,500,000) (44,900,000)
Cash flows from financing activities:      
Taxes related to net share settlement of equity awards (1,900,000) (2,200,000) (1,400,000)
Proceeds from issuance of senior secured notes 126,900,000 0 0
Repayments of borrowings (201,900,000) (1,600,000) (2,400,000)
Proceeds from exercise of stock options 0 0 200,000
Payment of debt issuance costs (1,200,000) (2,300,000) 0
Proceeds from shares issued under employee stock purchase plan 3,300,000 3,800,000 3,900,000
Other, net (1,100,000) (1,000,000.0) (500,000)
Net cash used in financing activities (75,900,000) (3,300,000) (200,000)
Effects of exchange rate changes on cash and cash equivalents and restricted cash 600,000 (100,000) 100,000
Net (decrease) increase in cash and cash equivalents and restricted cash (23,300,000) 16,400,000 63,400,000
Cash and cash equivalents and restricted cash at beginning of period 170,400,000 154,000,000.0 90,600,000
Cash and cash equivalents and restricted cash at end of period 147,100,000 170,400,000 154,000,000.0
Supplemental cash flow information:      
Cash paid for interest 31,300,000 27,600,000 27,400,000
Income taxes paid, net of refunds 18,600,000 20,200,000 16,700,000
Supplemental non-cash activities:      
Purchases of property, plant, and equipment financed through accounts payable $ 5,400,000 $ 1,000,000.0 $ 2,700,000