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Debt and Other Commitments - Additional Information (Detail) - USD ($)
4 Months Ended 12 Months Ended
Apr. 14, 2023
Apr. 12, 2023
Mar. 09, 2021
Sep. 28, 2016
Jan. 01, 2016
Apr. 20, 2024
Apr. 22, 2023
Dec. 28, 2024
Dec. 30, 2023
Dec. 31, 2022
Dec. 31, 2015
Debt Instrument [Line Items]                      
Bank overdraft               $ 14,459,000 $ 18,180,000    
Debt instrument face amount               900,000,000 900,000,000    
Payments for debt issuance costs             $ 100,000 190,000 533,000 $ 282,000  
Cash payment of debt               351,500,000 743,000,000 $ 330,000,000  
Additional financing costs incurred             100,000        
Deferred Salaries                      
Debt Instrument [Line Items]                      
Percentage of amount deferred, maximum         75.00%           75.00%
Deferred Bonus                      
Debt Instrument [Line Items]                      
Percentage of amount deferred, maximum                     100.00%
Minimum                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period               0      
Maximum                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period               30,000,000      
2031 Notes                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period               2,200,000      
Debt instrument face amount     $ 500,000,000         $ 500,000,000 500,000,000    
Notes due year               Mar. 15, 2031      
Debt instrument interest rate     2.40%                
Price to redeem notes as a percentage of principal     100.00%                
Variable interest rate     0.20%                
Change of control triggering event price to redeem notes as a percentage of principal               101.00%      
Balance of unamortized financing costs               $ 7,259,000      
Debt discount               2,430,000      
2026 Notes                      
Debt Instrument [Line Items]                      
Debt instrument face amount       $ 400,000,000       $ 400,000,000 400,000,000    
Notes due year               Oct. 01, 2026      
Debt instrument interest rate       3.50%              
Price to redeem notes as a percentage of principal       100.00%              
Variable interest rate       0.30%              
Change of control triggering event price to redeem notes as a percentage of principal               101.00%      
Balance of unamortized financing costs               $ 5,742,000      
Debt discount               2,108,000      
Standby Letters Of Credit                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period               8,400,000 8,400,000    
Accounts Receivable Securitization Facility                      
Debt Instrument [Line Items]                      
Payments for debt issuance costs           $ 200,000 $ 800,000        
Charge to write-off unamortized loan costs upon early extinguishment $ 300,000                    
Accounts Receivable Repurchase Facility                      
Debt Instrument [Line Items]                      
Line of credit facility, maximum borrowing capacity $ 200,000,000             200,000,000      
Balance of unamortized financing costs               300,000      
Accounts Receivable Repurchase Facility | Minimum                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period                 95,000,000    
Accounts Receivable Repurchase Facility | Maximum                      
Debt Instrument [Line Items]                      
Line of credit facility outstanding daily balance during period                 195,000,000    
Unsecured Credit Facility                      
Debt Instrument [Line Items]                      
Line of credit facility, maximum borrowing capacity               500,000,000      
Line of credit facility, expiration date   Jul. 30, 2026                  
Balance of unamortized financing costs               $ 500,000 $ 900,000    
Line of credit facility, expiration period   5 years                  
Line of credit facility, amount available   $ 500,000,000                  
Line of credit facility, additional borrowing capacity   $ 200,000,000                  
Covenant, maximum leverage ratio   4                  
Minimum leverage ratio on covenant holiday   3.75                  
Unsecured Credit Facility | Unsecured Credit Facility Total Potential Commitment                      
Debt Instrument [Line Items]                      
Line of credit facility, maximum borrowing capacity   $ 700,000,000                  
Unsecured Credit Facility | Base Rate Loans | Minimum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   0.00%                  
Unsecured Credit Facility | Base Rate Loans | Maximum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   0.525%                  
Unsecured Credit Facility | Federal Funds Rate | Minimum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   0.06%                  
Unsecured Credit Facility | Federal Funds Rate | Maximum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   0.225%                  
Unsecured Credit Facility | SOFR                      
Debt Instrument [Line Items]                      
Basis spread on variable rate               0.10%      
Unsecured Credit Facility | SOFR | Minimum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   0.815%                  
Unsecured Credit Facility | SOFR | Maximum                      
Debt Instrument [Line Items]                      
Basis spread on variable rate   1.525%                  
Unsecured Credit Facility | Floor                      
Debt Instrument [Line Items]                      
Basis spread on variable rate               0.00%