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Fair Value Measurement - Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 25, 2020
Carrying Amount    
Assets    
Notes receivable, net $ 6,484 $ 5,115
Carrying Amount | Initial Term Loan    
Liabilities    
Debt instrument 0 286,508
Carrying Amount | Incremental Term Loan    
Liabilities    
Debt instrument 0 386,100
Carrying Amount | New Term Loan    
Liabilities    
Debt instrument 465,000 0
Fair Value    
Assets    
Notes receivable, net 6,764 5,494
Fair Value | Initial Term Loan    
Liabilities    
Debt instrument 0 267,169
Fair Value | Incremental Term Loan    
Liabilities    
Debt instrument 0 384,652
Fair Value | New Term Loan    
Liabilities    
Debt instrument $ 462,675 $ 0