v3.25.2
FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Jun. 27, 2025
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured at Fair Value
The following table presents the Companys assets and liabilities measured at fair value:

June 27, 2025September 30, 2024
(in thousands)Level 1Level 2Level 1Level 2
Assets
Cash equivalents$257,101 $— $265,077 $— 
Schedule of Estimated Fair Value of Financial Instruments Not Carried at Fair Value
The estimated fair value of financial instruments not carried at fair value in the condensed consolidated balance sheets were as follows:

June 27, 2025September 30, 2024
(in thousands)Carrying ValueFair ValueCarrying ValueFair Value
Senior Secured Term Loan Facility due May 26, 2028$373,000 $371,911 $373,000 $373,000 
Senior Notes due June 2031400,000 369,336 400,000 364,456 
Total Debt$773,000 $741,247 $773,000 $737,456