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Operating (Gains), Losses and Other Charges, Net (Tables)
12 Months Ended
Dec. 27, 2023
Other Income and Expenses [Abstract]  
Schedule of Operating (Gains) Losses and Other Charges Net
Operating (gains), losses and other charges, net consists of the following:
 Fiscal Year Ended
 December 27, 2023December 28, 2022December 29, 2021
 (In thousands)
Gains on sales of assets and other, net$(2,220)$(3,378)$(47,822)
Restructuring charges and exit costs2,536 1,410 1,275 
Impairment charges (1)
2,214 963 442 
Operating (gains), losses and other charges, net$2,530 $(1,005)$(46,105)
(1)
Impairment charges include impairments related to property, operating right-of-use assets, finance right-of-use assets, and reacquired franchise rights.
Schedule of Restructuring Charges and Exit Costs
Restructuring charges and exit costs consists of the following: 
 Fiscal Year Ended
 December 27, 2023December 28, 2022December 29, 2021
 (In thousands)
Exit costs$190 $86 $323 
Severance and other restructuring charges2,346 1,324 952 
Total restructuring charges and exit costs$2,536 $1,410 $1,275