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Restructuring (Tables)
12 Months Ended
Sep. 27, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve Activity
Restructuring activity for severance and other costs by segment and reconciliation to consolidated amounts is as follows:
Space and DefenseMilitary AircraftCommercial AircraftIndustrialTotal
Balance at October 1, 2022$228 $229 $— $6,678 $7,135 
Charged to expense - 2023 plan2,308 458 — 5,808 8,574 
Adjustments to provision(37)(15)— (525)(577)
Cash payments - 2023 plan(678)(95)— (1,450)(2,223)
Cash payments - 2022 plan(190)(229)— (1885)(2,304)
Cash payments - 2020 plan— — — (372)(372)
Cash payments - 2018 plan— — — (359)(359)
Foreign currency translation(9)(1)— 313 303 
Balance at October 1, 20231,622 347 — 8,208 10,177 
Charged to expense - 2024 plan6,307 3,973 1,237 10,282 21,799 
Charged to expense - 2023 plan— — — 3,766 3,766 
Non-cash charges - 2024 plan(4,907)(733)— (2,635)(8,275)
Adjustments to provision(178)(139)— (1,638)(1,955)
Cash payments - 2024 plan— (2,616)(477)(3,740)(6,833)
Cash payments - 2023 plan(1444)(208)— (4,014)(5,666)
Cash payments - 2022 plan— — — (464)(464)
Cash payments - 2020 plan— — — (485)(485)
Cash payments - 2018 plan— — — (399)(399)
Foreign currency translation— — — 513 513 
Balance at September 28, 20241,400 624 760 9,394 12,178 
Charged to expense - 2024 plan2,046 — — 5,997 8,043 
Charged to expense - 2023 plan— — — 1,972 1,972 
Non-cash charges - 2024 plan(448)— — (732)(1,180)
Adjustments to provision— — — (697)(697)
Cash payments - 2024 plan(871)(624)(760)(7,953)(10,208)
Cash payments - 2023 plan— — — (1,277)(1,277)
Cash payments - 2022 plan— — — (32)(32)
Cash payments - 2020 plan— — — (170)(170)
Cash payments - 2018 plan— — — (400)(400)
Foreign currency translation171 — — 429 600 
Balance at September 27, 2025$2,298 $ $ $6,531 $8,829