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Retirement Plans (Tables)
12 Months Ended
Oct. 03, 2025
Retirement Benefits [Abstract]  
Schedule of Changes in Projected Benefit Obligations, Fair Value of Plan Assets, and Funded Status of Plan
The following tables provide reconciliations of the changes in the Defined Benefit Pension Plans benefit obligations, reconciliations of the changes in the fair value of assets for the years ended October 3, 2025, September 27, 2024 and September 29, 2023 and reconciliations of the funded status as of October 3, 2025 and September 27, 2024.
For the years ended
(Amounts in millions)
October 3, 2025September 27, 2024September 29, 2023
Change in benefit obligation
Benefit obligation at beginning of period$313 $292 $310 
Interest cost14 17 16 
Benefits paid from the plans(21)(22)(21)
Actuarial (gain) loss(10)26 (13)
Benefit obligation at end of period$296 $313 $292 

For the years ended
(Amounts in millions)
October 3, 2025September 27, 2024September 29, 2023
Change in plan assets
Fair value of plan assets at beginning of period$315 $281 $271 
Actual return on plan assets11 55 30 
Employer contributions to plans— — 
Benefits paid from the plans(21)(22)(20)
Fair value of plan assets at end of period$305 $315 $281 
Schedule of Defined Benefit Plan, Plan Assets, Category
As of October 3, 2025 and September 27, 2024, the fair values of the Defined Benefit Pension Plan by major asset categories were as follows:
October 3, 2025September 27, 2024
Carrying ValueQuoted Prices in Active Markets (Level 1)Significant Other
Observable Inputs
(Level 2)
Carrying ValueQuoted Prices in Active Markets (Level 1)
(Amounts in millions)
Investments measured at fair value
Cash and cash equivalents$$$— $$
Investment funds
Fixed income funds233 50 183 128 128 
Total investments measured at fair value$242 $59 $183 $134 $134 
Investments measured at NAV
Investment funds
Common collective funds - debt$— $87 
Diversified and equity funds63 94 
Total investments measured at NAV63 181 
Total$305 $315