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FAIR VALUE (Tables)
3 Months Ended
Jan. 03, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis In the tables below, the Company has segregated all assets and liabilities that are measured at fair value on a recurring basis into the most appropriate level within the fair value hierarchy based on the inputs used to determine the fair value at the measurement date.
Fair Value at January 3, 2025
(In millions)
Quoted Prices in Active Markets
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant Unobservable Inputs
(Level 3)
Total
Assets:
Money market funds$— $10.5 $— $10.5 
Commercial paper— 6.9 — 6.9 
Corporate notes/bonds— 13.0 — 13.0 
Government agencies— 5.3 — 5.3 
U.S. treasury bills— 22.5 — 22.5 
Certificates of deposit— 0.9 — 0.9 
Derivative assets
— 0.3 — 0.3 
Deferred compensation plan(1)
7.6 — — 7.6 
Marketable equity securities2.8 — — 2.8 
Total assets measured at fair value$10.4 $59.4 $ $69.8 
Liabilities:
Derivative liabilities
$— $3.1 $— $3.1 
Total liabilities measured at fair value$ $3.1 $ $3.1 
(1) The assets held under the Company’s deferred compensation plan are classified in Level 1, as they relate primarily to publicly traded mutual funds for which there are observable market prices in active markets.
Fair Value at September 27, 2024
(In millions)
Quoted Prices in Active Markets
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant Unobservable Inputs
(Level 3)
Total
Assets:
Money market funds$— $24.4 $— $24.4 
Corporate notes/bonds— 16.5 — 16.5 
Government agencies— 18.3 — 18.3 
U.S. treasury bills— 6.1 — 6.1 
Certificates of deposit— 0.9 — 0.9 
Derivative assets— 1.0 — 1.0 
Deferred compensation plan(1)
7.5 — — 7.5 
Marketable equity securities2.6 — — 2.6 
Total assets measured at fair value$10.1 $67.2 $ $77.3 
Liabilities:
Derivative liabilities$— $8.6 $— $8.6 
Total liabilities measured at fair value$ $8.6 $ $8.6 
(1) The assets held under the Company’s deferred compensation plan are classified in Level 1, as they relate primarily to publicly traded mutual funds for which there are observable market prices in active markets.
Schedule of Gains and (Losses) on Marketable Securities The following is a summary of marketable debt securities, which are included within the cash and cash equivalents, marketable securities, and other assets balances on the Condensed Consolidated Balance Sheets.
January 3, 2025
(In millions)Amortized CostsFair Value
Commercial paper$6.9 $6.9 
Corporate notes/bonds13.0 13.0 
U.S. treasury bills22.5 22.5 
Government agencies5.3 5.3 
Certificates of deposit0.9 0.9 
Total marketable debt securities$48.6 $48.6 
September 27, 2024
(In millions)Amortized CostsUnrealized GainsFair Value
Corporate notes/bonds$16.4 $0.1 $16.5 
U.S. treasury bills6.1 — 6.1 
Government agencies18.3— 18.3
Certificates of deposit0.9— 0.9
Total marketable debt securities$41.7 $0.1 $41.8 
Schedule of Marketable Securities The contractual maturities of marketable debt securities as of January 3, 2025, are shown in the table below. Actual maturities may differ from contractual maturities because borrowers may have the right to call or prepay obligations.
January 3, 2025
(In millions)Amortized CostsFair Value
Contractual maturities:
Due within one year$42.7 $42.7 
Due after one year through five years5.9 5.9 
Total marketable debt securities$48.6 $48.6 
The following tables summarize the balance sheet locations for marketable debt securities:
January 3, 2025
(In millions)Commercial PaperCorporate Notes/BondsGovernment AgenciesTreasury BillsCertificates of DepositTotal
Cash and cash equivalents$5.0 $— $— $1.1 $— $6.1 
Marketable securities1.9 8.1 5.3 20.4 0.9 36.6 
Other assets— 4.9 — 1.0 — 5.9 
Total marketable debt securities$6.9 $13.0 $5.3 $22.5 $0.9 $48.6 
September 27, 2024
(In millions)Commercial PaperCorporate Notes/BondsGovernment AgenciesTreasury BillsCertificates of DepositTotal
Cash and cash equivalents$— $— $— $1.0 $— $1.0 
Marketable securities— 10.5 16.3 4.1 0.9 31.8 
Other assets— 6.0 2.0 1.0 — 9.0 
Total marketable debt securities$ $16.5 $18.3 $6.1 $0.9 $41.8