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Retirement Plans (Tables)
12 Months Ended
Sep. 28, 2025
Retirement Benefits [Abstract]  
Summary of amounts recorded on the balance sheet
The Plan's funded status was as follows (in thousands):
Fiscal Year Ended
September 28,
2025
September 29,
2024
Fair value of plan assets$43,553 $46,815 
Benefit obligation(34,901)(39,722)
Net surplus$8,652 $7,093 
Summary of fair value of plan assets by major asset category The fair values of the plan assets by major asset categories were as follows (in thousands):
Fiscal Year Ended
September 28,
2025
September 29,
2024
Equities$692 $3,739 
Mutual funds23,750 22,923 
Liability driven investment funds15,607 15,833 
Bonds2,647 2,657 
Cash/other857 1,663 
Fair value of plan assets$43,553 $46,815 
Summary of Principle assumptions used for the benefit obligation valuation
Principal assumptions used for the benefit obligation in the valuation are as follows:
Fiscal Year Ended
September 28,
2025
September 29,
2024
Discount rate5.85 %5.00 %
Rate of inflation
2.75% to 3.15%
2.70% to 3.15%