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Fresh Start Accounting - Schedule of Changes In Cash and Cash Equivalents (Details) - Reorganization, Chapter 11, Plan Effect Adjustment [Member] - Cash And Cash Equivalents
$ in Thousands
6 Months Ended
Jun. 24, 2025
USD ($)
Reorganization, Chapter 11 [Line Items]  
Funding of professional fee escrow account $ (10,041)
Payment for bankruptcy-related professional fees and debt issuance costs (9,425)
Restriction of cash related to Letter of Credit collateralization (4,025)
Release of cash reserved for utilities 93
Payment for continuing Letter of Credit fee (25)
Changes in cash and cash equivalents $ (23,423)