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DEBT (Tables)
12 Months Ended
Dec. 29, 2024
Debt Disclosure [Abstract]  
Schedule of Line of Credit Facilities
Borrowings under the revolving facilities consisted of and bore interest at (in thousands):
December 29,
2024
December 31,
2023
Base Rate$2,395 10.25 %$4,874 9.75 %
SOFR4,000 8.23 %3,000 7.69 %
SOFR— — %2,000 7.71 %
SOFR— — %15,000 7.77 %
Total$6,395 $24,874 
Schedule of Long-term Debt Instruments
Long-term debt consisted of and bore interest at (in thousands):
December 29,
2024
December 31,
2023
SOFR$36,550 8.23 %$34,000 7.79 %
Long-term debt$36,550 $34,000 
Schedule of Maturities of Long-term Debt
Maturities on the Revolving Facility with BMO and long-term debt as of , are as follows at (in thousands):
Fiscal:December 29,
2024
2025$3,825 
202639,120 
 42,945 
Less debt issuance costs(992)
Total, net$41,953