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Operating (Gains), Losses and Other Charges, Net (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 29, 2021
Dec. 30, 2020
Dec. 25, 2019
Other Income and Expenses [Abstract]      
Gains on sales of assets and other, net $ (47,822) $ (4,678) $ (93,608)
Restructuring charges and exit costs 1,275 2,403 2,428
Impairment charges 442 4,083 0
Operating (gains), losses and other charges, net (46,105) 1,808 (91,180)
Restructuring charges and exit costs [Abstract]      
Exit costs 323 204 272
Severance and other restructuring charges 952 2,199 2,156
Total restructuring charges and exit costs 1,275 2,403 2,428
Accrued severance and other restructuring charges 100 600  
Impairment Charges 442 4,083 $ 0
Tangible asset impairment charges 300 2,400  
Impairment related to finance lease ROU assets 100 100  
Operating lease, impairment loss $ 100 1,600  
Impairment of franchisee rights   $ 100