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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Oct. 03, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities Measured at Fair Value on a Recurring Basis
The following table summarizes the Company’s financial assets measured at fair value as of October 3, 2025:
 
    Level 1Level 2Level 3Total
Assets:   
Rabbi trust assets$30,680 $— $— $30,680 
Marketable securities— — — — 
Total$30,680 $— $— $30,680 
 
The following table summarizes the Company’s financial assets measured at fair value as of September 27, 2024:
 
    Level 1Level 2Level 3Total
Assets:    
Rabbi trust assets$29,059 $— $— $29,059 
Marketable securities— 16,541 — 16,541 
Total$29,059 $16,541 $— $45,600 
Schedule of the Location and Amount of Income or Loss Recognized for Changes in Fair Value of Financial Instruments
The effect of changes in the fair value of financial instruments on the Consolidated Statements of Operations for the years ended October 3, 2025, September 27, 2024 and September 29, 2023 was:
   Location of income recognized in Statement of
Operations    
202520242023
Rabbi trust assetsOther (income) expense, net$(1,448)$(6,669)$(2,862)