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Share-Based Compensation (Tables)
12 Months Ended
Dec. 27, 2024
Share-Based Payment Arrangement [Abstract]  
Schedule of Option Activity
The following table summarizes option activity:
Number of Stock Options
Service
condition
Weighted average exercise price
per share
Weighted average remaining
contractual term
Aggregate intrinsic value
Outstanding, December 29, 2023582,163$24.36 
Exercised(216,439)$24.49 
Forfeited or expired(639)$21.76 
Outstanding, December 27, 2024365,085$24.28 1.1 years$2,623 
Exercisable, December 27, 2024365,085$24.28 1.1 years$2,623 
Schedule of Fair Value of Options Granted and Intrinsic Value of Options Exercised
The intrinsic value of options exercised are as follows:
Year Ended
December 27,
2024
December 29,
2023
December 30,
2022
Total intrinsic value of options exercised$3,276 $3,041 $1,232 
Schedule of RSU Activity
The following table summarizes RSU activity:
Number of RSUs
Service
condition
Performance
condition
Market
condition
Weighted average grant-date fair
value per share
Unvested, December 29, 20231,088,08397,299171,101$30.37 
Granted455,023100,94162,776$39.61 
Vested(432,280)(6,609)(8,617)$31.68 
Forfeited(79,371)(13,021)(23,419)$30.36 
Unvested, December 27, 20241,031,455178,610201,841$33.92 
Schedule of Fair Value Information for RSUs Granted and Vested
Fair value information for RSUs granted and vested is as follows:
Year Ended
December 27,
2024
December 29,
2023
December 30,
2022
Weighted average grant-date fair value per share of RSUs granted$39.61 $30.70 $27.24 
Total grant-date fair value of shares vested$14,177 $11,550 $9,644 
Schedule of Weighted Average Assumption used to Measure Fair Value
The table below sets forth the weighted average assumptions used to measure the fair value of 2017 ESPP rights:
Year Ended
December 27,
2024
December 29,
2023
December 30,
2022
Weighted average expected term0.5 years0.5 years0.5 years
Risk-free interest rate5.3%5.1%1.4%
Dividend yield0.0%0.0%0.0%
Volatility60.4%63.4%63.8%