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Other Charges (Gains), net (Tables)
6 Months Ended
Jul. 09, 2023
Other Income and Expenses [Abstract]  
Schedule of Other Charges (Gains), Net Other charges (gains), net consisted of the following (in thousands):
Twelve Weeks EndedTwenty-Eight Weeks Ended
July 9, 2023July 10, 2022July 9, 2023July 10, 2022
Gain on sale leaseback, net of expenses
$(14,586)$— $(14,586)$— 
Litigation contingencies
1,240 (1,806)5,540 (86)
Restaurant closure costs, net
(112)930 1,638 1,879 
Severance and executive transition
962 129 2,854 129 
Asset impairment
1,693 8,739 2,387 10,861 
Other
83 — 1,144 — 
Closed corporate office costs, net of sublease income113 — 175 — 
Other financing costs
— 61 — 370 
COVID-19 related charges
— 93 — 300 
Other charges (gains), net$(10,607)$8,146 $(848)$13,453 
Schedule of Restructuring costs A reconciliation of our termination benefits liability, which is included in Accrued liabilities and other current liabilities in our Condensed Consolidated Balance Sheets is as follows:
Termination Benefits
Balance as of December 25, 2022
$2,505 
Charges2,077 
Cash Payments(3,947)
Balance as of July 9, 2023
$635