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RESTRICTED CASH AND INVESTMENTS (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 29, 2024
Dec. 31, 2023
Dec. 25, 2022
Restricted Cash and Investments [Line Items]      
Cash collateral held by insurance carriers $ 22,387 $ 23,598  
Cash and cash equivalents held in Trust 15,406 12,703  
Investments held in Trust 99,506 122,659  
Company-owned life insurance policies 41,846 32,905  
Other restricted cash and cash equivalents 771 1,120  
Total restricted cash, cash equivalents and investments 179,916 192,985  
Amortized cost 99,506 122,659  
Gross unrealized gain 212 533  
Gross unrealized losses (1,126) (2,279)  
Fair value 98,592 120,913  
Amortized cost      
Total held-to-maturity investments 99,506 122,659  
Fair value      
Total held-to-maturity investments 98,592 120,913  
Proceeds from company-owned life insurance 0 1,662 $ 0
Unrealized gains (losses) 4,940 4,383 $ (5,841)
Municipal debt securities      
Restricted Cash and Investments [Line Items]      
Amortized cost 22,490 32,042  
Gross unrealized gain 0 4  
Gross unrealized losses (135) (242)  
Fair value 22,355 31,804  
Amortized cost      
Total held-to-maturity investments 22,490 32,042  
Fair value      
Total held-to-maturity investments 22,355 31,804  
Corporate debt securities      
Restricted Cash and Investments [Line Items]      
Amortized cost 64,313 76,578  
Gross unrealized gain 144 333  
Gross unrealized losses (945) (1,999)  
Fair value 63,512 74,912  
Amortized cost      
Total held-to-maturity investments 64,313 76,578  
Fair value      
Total held-to-maturity investments 63,512 74,912  
Agency mortgage-backed securities      
Restricted Cash and Investments [Line Items]      
Amortized cost 11,703 13,039  
Gross unrealized gain 68 196  
Gross unrealized losses (17) 0  
Fair value 11,754 13,235  
Amortized cost      
Total held-to-maturity investments 11,703 13,039  
Fair value      
Total held-to-maturity investments 11,754 13,235  
U.S. government and agency securities      
Restricted Cash and Investments [Line Items]      
Amortized cost 1,000 1,000  
Gross unrealized gain 0 0  
Gross unrealized losses (29) (38)  
Fair value 971 962  
Amortized cost      
Total held-to-maturity investments 1,000 1,000  
Fair value      
Total held-to-maturity investments 971 $ 962  
Restricted Cash and Investments      
Restricted Cash and Investments [Line Items]      
Amortized cost 99,506    
Fair value 98,592    
Amortized cost      
Due in one year or less 29,039    
Due after one year through five years 58,533    
Due after five years through ten years 6,224    
Due after ten years 5,710    
Total held-to-maturity investments 99,506    
Fair value      
Due in one year or less 28,757    
Due after one year through five years 57,906    
Due after five years through ten years 6,185    
Due after ten years 5,744    
Total held-to-maturity investments $ 98,592