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Fair Value Measurements (Tables)
6 Months Ended
Sep. 27, 2025
Fair Value Disclosures [Abstract]  
Schedule of the Fair Value and Carrying Value of Financial Instruments
The book value and estimated fair value of our financial instruments were as follows (in thousands):
September 27, 2025March 29, 2025
Book
Value
Estimated
Fair Value
Book
Value
Estimated
Fair Value
Available-for-sale debt securities
$23,197 $23,197 $21,415 $21,415 
Marketable equity securities
12,859 12,859 11,425 11,425 
Non-marketable equity investments
5,150 5,150 5,069 5,069 
Consumer loans receivable52,883 54,402 56,537 59,365 
Commercial loans receivable
107,445 97,352 99,746 89,216 
Other secured financing(1,535)(1,534)(1,594)(1,569)
Schedule of Servicing Assets at Fair Value
September 27,
2025
March 29,
2025
Number of loans serviced with MSRs3,550 3,647 
Weighted average servicing fee (basis points)34.25 34.74 
Capitalized servicing multiple170.69 %179.97 %
Capitalized servicing rate (basis points)58.46 62.52 
Serviced portfolio with MSRs (in thousands)$438,870 $451,080 
MSRs (in thousands)$2,566 $2,820