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Fair Value Measurements (Tables)
3 Months Ended
Mar. 30, 2025
Fair Value Disclosures [Abstract]  
Fair Value, by Balance Sheet Grouping
The following table presents the carrying amounts and estimated fair values of the Company’s financial instruments:
March 30,
2025
December 29,
2024
Carrying
Amount
Fair
Value
Carrying
Amount
Fair
Value
Fair Value
Measurements
Financial assets
Cash equivalents$201,742 $201,742 $319,212 $319,212 Level 1
Other investments in equity securities (a)— — 1,718 1,718 Level 2
Financial liabilities
Series 2022-1 Class A-2-I Notes (b)97,250 91,379 97,500 93,744 Level 2
Series 2022-1 Class A-2-II Notes (b)385,134 362,438 386,134 371,855 Level 2
Series 2021-1 Class A-2-I Notes (b)417,644 377,738 418,769 376,256 Level 2
Series 2021-1 Class A-2-II Notes (b)625,405 538,661 627,030 551,981 Level 2
Series 2019-1 Class A-2-I Notes (b)352,673 346,060 353,673 345,093 Level 2
Series 2019-1 Class A-2-II Notes (b)397,498 379,491 398,623 387,039 Level 2
Series 2018-1 Class A-2-II Notes (b)435,162 419,931 436,349 418,027 Level 2
U.S. advertising fund revolving line of credit
6,500 6,500 — — Level 2
7% debentures, due in 2025 (b)
49,084 49,488 48,913 50,034 Level 2
_______________
(a)The fair value of our other investments in equity securities is based on our review of information provided by the investment manager, which is based on observable price changes in orderly transactions for a similar investment of the same issuer.

(b)The fair values were based on quoted market prices in markets that are not considered active markets.
Fair value of assets and liabilities (other than cash and cash equivalents) measured at fair value on a nonrecurring basis
Fair Value Measurements
March 30,
2025
Level 1Level 2Level 3
Held and used$$— $— $
Held for sale2,048 — — 2,048 
Total$2,054 $— $— $2,054 
Fair Value Measurements
December 29,
2024
Level 1Level 2Level 3
Held and used$2,391 $— $— $2,391 
Held for sale1,558 — — 1,558 
Total$3,949 $— $— $3,949