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Fair Value Measurement (Tables)
12 Months Ended
Sep. 27, 2025
Fair Value Disclosures [Abstract]  
Assets and Liabilities Measured at Fair Value
The Company’s assets and liabilities measured at fair value are summarized in the following tables by fair value measurement Level. See Note 10 for definitions of fair value measures and the Levels within the fair value hierarchy.
 Fair Value Measurement at September 27, 2025
DescriptionLevel 1 Level 2Level 3Total
Assets
Investments$—  $89  $—  $89  
Derivatives
Foreign exchange—  816  —  816  
Other—   —   
Liabilities
Derivatives
Interest rate—  (762) —  (762) 
Foreign exchange—  (926) —  (926) 
Other—  (1) —  (1) 
Other—  (668) —  (668) 
Total recorded at fair value$—  $(1,447) $—  $(1,447) 
Fair value of borrowings (see carrying value in Note 8)
$—  $36,976  $2,111  $39,087  
 Fair Value Measurement at September 28, 2024
DescriptionLevel 1Level 2Level 3Total
Assets
Investments$—  $94  $—  $94  
Derivatives
Foreign exchange—  569  —  569  
Other—  18  —  18  
Liabilities
Derivatives
Interest rate—  (983) —  (983) 
Foreign exchange—  (588) —  (588) 
Other—  (8) —  (8) 
Other—  (591) —  (591) 
Total recorded at fair value$—  $(1,489) $—  $(1,489) 
Fair value of borrowings (see carrying value in Note 8)
$—  $42,392  $1,317  $43,709