Financial Instruments and Risk Management - Additional Information (Details) - USD ($) $ in Thousands |
3 Months Ended | 12 Months Ended |
---|---|---|
Dec. 24, 2022 |
Sep. 24, 2022 |
|
Derivatives, Fair Value [Line Items] | ||
Maximum maturity period of highly liquid investment considered as cash equivalents | 3 months | |
Interest Rate Risk [Abstract] | ||
Weighted average maturity of outstanding commodity-related derivatives | 5 months | |
Cash collateral | $ 8,327 | $ 0 |
Commodity Contract [Member] | ||
Interest Rate Risk [Abstract] | ||
Weighted average maturity of outstanding commodity-related derivatives | 7 months | |
Federal Funds Rate [Member] | ||
Interest Rate Risk [Abstract] | ||
Description of applicable interest rate on borrowings | Federal Funds Rate | |
Basis spread (in hundredths) | 0.50% | |
LIBOR [Member] | ||
Interest Rate Risk [Abstract] | ||
Description of applicable interest rate on borrowings | LIBOR | |
Basis spread (in hundredths) | 1.00% |