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Restructuring - Schedule of Restructuring-related Liabilities (Detail) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended 18 Months Ended
Jun. 29, 2024
Jun. 29, 2024
Dec. 30, 2023
Dec. 31, 2022
Jun. 29, 2024
2023 Plan          
Restructuring Cost and Reserve [Line Items]          
Restructuring charges $ 1,910 $ 7,403 $ 53,743 $ 13,608  
2023 Plan | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   26,758 13,608   $ 13,608
Restructuring charges   5,232 47,106    
Payments   (12,716) (33,956)    
Change in estimate   2,146      
Ending Balance 21,420 21,420 26,758 13,608 21,420
2023 Plan | Other Cash Restructuring Charges | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   344      
Restructuring charges   581 1,577    
Payments   (698) (1,233)    
Ending Balance 227 227 344   227
2023 Plan | Real Estate Restructuring | Lease Termination Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   156      
Restructuring charges     12,924    
Payments     (12,768)    
Change in estimate   (156)      
Ending Balance     156    
2023 Plan | Real Estate Restructuring | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   2,663 1,798   1,798
Restructuring charges   2,327 5,678    
Payments   (453) (4,813)    
Change in estimate   (50)      
Ending Balance 4,487 4,487 2,663 1,798 4,487
2023 Plan | Organizational Restructuring | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   23,595 11,810   11,810
Restructuring charges   2,324 26,927    
Payments   (11,565) (15,142)    
Change in estimate   2,352      
Ending Balance 16,706 16,706 23,595 11,810 16,706
2022 Plan          
Restructuring Cost and Reserve [Line Items]          
Restructuring charges       27,181  
2022 Plan | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   941 9,803   9,803
Restructuring charges       22,589  
Payments   (734) (9,997) (12,786)  
Change in estimate   313 1,135    
Ending Balance 520 520 941 9,803 520
2022 Plan | Lease Termination Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance     547   547
Restructuring charges       2,424  
Payments     (122) (1,877)  
Change in estimate     (425)    
Ending Balance       547  
2022 Plan | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance   941 8,261   8,261
Restructuring charges       19,170  
Payments   (734) (8,880) (10,909)  
Change in estimate   313 1,560    
Ending Balance $ 520 $ 520 941 8,261 520
2022 Plan | Other Cash Restructuring Charges | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance     995   $ 995
Restructuring charges       995  
Payments     $ (995)    
Ending Balance       $ 995