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PENSION AND OTHER POSTRETIREMENT BENEFITS - Schedule of Defined Benefit Plan Obligations and Assets (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 26, 2023
Mar. 27, 2022
Dec. 25, 2022
Dec. 26, 2021
Amounts recognized in accumulated other comprehensive loss at end of period:        
Net actuarial loss (gain) $ (81) $ 49,441   $ 58,143
Pension Benefits        
Change in projected benefit obligation:        
Projected, benefit obligation, beginning of period 236,147 373,062    
Interest cost 2,314 1,508    
Actuarial gain (3,134) (29,146)    
Benefits paid (3,838) (4,810)    
Currency translation loss (gain) (1,082) 161    
Projected benefit obligation, end of period 230,407 340,775    
Change in plan assets:        
Fair value of plan assets, beginning balance 210,133 326,409    
Actual return on plan assets 3,357 (18,246)    
Contributions by employer 2,109 3,287    
Benefits paid (3,838) (4,810)    
Expenses paid from assets (94) (115)    
Currency translation gain (loss) (1,012) 116    
Fair value of plan assets, end of period 210,655 306,641    
Funded status:        
Unfunded benefit obligation, end of period (19,752)   $ (26,014)  
Amounts recognized in the Condensed Consolidated Balance Sheets at end of period:        
Current liability (794)   (841)  
Long-term liability (18,958)   (25,173)  
Recognized liability (19,752)   (26,014)  
Amounts recognized in accumulated other comprehensive loss at end of period:        
Net actuarial loss (gain) 43,585 62 48,121 $ 118
Other Benefits        
Change in projected benefit obligation:        
Projected, benefit obligation, beginning of period 1,169 1,346    
Interest cost 9 4    
Actuarial gain (15) (56)    
Benefits paid (29) (26)    
Currency translation loss (gain) 0 0    
Projected benefit obligation, end of period 1,134 1,268    
Change in plan assets:        
Fair value of plan assets, beginning balance 0 0    
Actual return on plan assets 0 0    
Contributions by employer 29 26    
Benefits paid (29) (26)    
Expenses paid from assets 0 0    
Currency translation gain (loss) 0 0    
Fair value of plan assets, end of period 0 $ 0    
Funded status:        
Unfunded benefit obligation, end of period (1,134)   (1,169)  
Amounts recognized in the Condensed Consolidated Balance Sheets at end of period:        
Current liability (148)   (177)  
Long-term liability (986)   (992)  
Recognized liability (1,134)   (1,169)  
Amounts recognized in accumulated other comprehensive loss at end of period:        
Net actuarial loss (gain) $ (81)   $ (66)