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Other Financial Information (Tables)
12 Months Ended
Sep. 26, 2025
Other Financial Information [Abstract]  
Schedule of Components of Receivables and Contract Assets
The following table presents the components of receivables and contract assets appearing in the accompanying Consolidated Balance Sheets at September 26, 2025 and September 27, 2024 as well as certain other related information (in thousands):
 September 26, 2025September 27, 2024
Amounts billed, net$1,386,253 $1,278,980 
Unbilled receivables and other1,115,286 1,132,980 
Contract assets487,528 433,492 
Total receivables and contract assets, net$2,989,067 $2,845,452 
Schedule of Property, Equipment and Improvements, Net
The following table presents the components of our property, equipment and improvements, net at September 26, 2025 and September 27, 2024 (in thousands):
 September 26, 2025September 27, 2024
Land$— $69 
Buildings43,792 45,747 
Equipment742,145 702,680 
Leasehold improvements174,497 165,043 
Construction in progress8,754 7,183 
 969,188 920,722 
Accumulated depreciation and amortization(657,316)(605,092)
 $311,872 $315,630 
Schedule of Disclosure on Geographic Areas, Long-Lived Assets in Individual Foreign Countries by Country
The following table presents our property, equipment and improvements, net by geographic area for the years ended September 26, 2025 and September 27, 2024 (in thousands):
September 26, 2025September 27, 2024
     United States$142,289 $149,843 
     Europe121,359 116,957 
     Canada5,600 5,387 
     Asia4,249 3,686 
     India10,561 10,127 
     Australia and New Zealand18,904 21,912 
     Middle East and Africa8,910 7,718 
Total$311,872 $315,630 
Schedule of Components of Accrued Liabilities
The following table presents the components of accrued liabilities shown in the accompanying Consolidated Balance Sheets at September 26, 2025 and September 27, 2024 (in thousands):
 September 26, 2025September 27, 2024
Accrued payroll and related liabilities$656,641 $654,295 
Accrued professional liability and other221,534 206,402 
Income, sales and other tax accruals113,795 134,990 
Insurance liabilities43,346 54,592 
Dividends payable2,438 37,485 
Total$1,037,754 $1,087,764 
Schedule of Accumulated Other Comprehensive Income (Loss)
The following table presents the Company's roll forward of accumulated income (loss) after-tax for the years ended September 26, 2025 and September 27, 2024 (in thousands):
Change in Pension and Retiree Medical Plan LiabilitiesForeign Currency Translation Adjustment (1)(Loss)/Gain on Cash Flow Hedges (2)Total
Balance at September 29, 2023
$(325,692)$(635,937)$103,675 $(857,954)
Other comprehensive (loss) income(45,190)211,702 (8,166)158,346 
Reclassifications from other comprehensive income (loss)192 — (54,506)(54,314)
Distribution of SpinCo Business(247)54,719 — 54,472 
Balance at September 27, 2024
$(370,937)$(369,516)$41,003 $(699,450)
Other comprehensive (loss) income
(2,198)(4,453)3,327 (3,324)
Reclassifications from other comprehensive income (loss)
225 — (7,861)(7,636)
Balance at September 26, 2025
$(372,910)$(373,969)$36,469 $(710,410)
(1)Included in the overall foreign currency translation adjustment for the years ended September 26, 2025 and September 27, 2024 is $(1.0) million and $(8.9) million, respectively, in unrealized losses on long-term foreign currency denominated intercompany loans not anticipated to be settled in the foreseeable future.
(2)Included in the Company’s cumulative net unrealized gains from interest rate swaps recorded in accumulated other comprehensive loss as of September 26, 2025 and September 27, 2024 were approximately $6.2 million and $5.9 million, respectively in unrealized gains, net of taxes, which are expected to be realized in earnings during the twelve months subsequent to September 26, 2025.