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Restructuring Costs (Tables)
3 Months Ended
Mar. 29, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Related Costs The following table provides a summary of the Company’s restructuring costs during the three months ended March 29,
2025 and March 30, 2024 (in thousands):
Three Months Ended
March 29,
2025
March 30,
2024
Cash restructuring costs:
Contract termination costs (1)
$(114)
$4,413
Severance and employee-related benefits
157
841
Professional fees and other
17
2,846
Total cash restructuring costs
60
8,100
Non-cash restructuring costs:
Asset impairments (2)
2,500
Total restructuring costs
$60
$10,600
____________________
(1) Primarily comprised of lease termination costs. Costs incurred during the three months ended March 29, 2025 were favorable to original estimates.
(2) Primarily comprised of impairments of property and equipment.
The following table provides the activity in the Company’s restructuring related liabilities, which are included within
accounts payable, compensation and benefits and other current liabilities on the condensed consolidated balance sheet
(in thousands):
March 29,
2025
December 28,
2024
Balance at the beginning of year
$3,341
$8,720
Expenses
60
14,888
Cash payments
(2,914)
(20,267)
Balance at the end of the period
$487
$3,341
Since the initiation of cost reduction actions in the fourth quarter of 2023, the Company has recognized a cumulative
$33.9 million of restructuring costs, as follows (in thousands):
Cumulative
March 29,
2025
Cash restructuring costs:
Contract termination costs (1)
$14,323
Severance and employee-related benefits
8,350
Professional fees and other
5,761
Total cash restructuring costs
28,434
Non-cash restructuring costs:
Asset impairments (2)
5,420
Total restructuring costs
$33,854
____________________
(1)Primarily comprised of lease termination costs.
(2) Includes impairments of both lease right-of-use assets and property and equipment.