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Operating (Gains), Losses and Other Charges, Net (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 30, 2020
Dec. 25, 2019
Dec. 26, 2018
Other Income and Expenses [Abstract]      
Gains on sales of assets and other, net $ (4,678) $ (93,608) $ (513)
Restructuring charges and exit costs 2,403 2,428 1,575
Impairment charges 4,083 0 1,558
Operating (gains), losses and other charges, net 1,808 (91,180) 2,620
Gain on insurance settlements     1,200
Loss on sale of restaurants     700
Restructuring charges and exit costs [Abstract]      
Exit costs 204 272 518
Severance and other restructuring charges 2,199 2,156 1,057
Total restructuring charges and exit costs 2,403 2,428 1,575
Restructuring reserve 100 200  
Accrued severance and other restructuring charges 600 900  
Impairment Charges 4,083 $ 0 $ 1,558
Tangible asset impairment charges 2,400    
Operating lease, impairment loss 1,600    
Impairment of franchisee rights (less than) 100    
Impairment related to finance lease ROU assets $ 100