v3.25.2
CASH, CASH EQUIVALENTS, RESTRICTED CASH AND SHORT-TERM INVESTMENTS (Tables)
9 Months Ended
Jun. 28, 2025
Cash and Cash Equivalents [Abstract]  
Cash, cash equivalents, restricted cash and short-term investments
Cash, cash equivalents, and short-term investments consisted of the following as of June 28, 2025:
(in thousands)Amortized CostUnrealized
Gains
Unrealized
Losses
Estimated
Fair Value
Current assets:
Cash$52,991 $— $— $52,991 
Cash equivalents:
Mutual Funds (1)
156,853 72 — 156,925 
Time deposits (2)
36,565 — — 36,565 
Total cash and cash equivalents$246,409 $72 $— $246,481 
Short-term investments:
Time deposits (2)
310,000 — — 310,000 
Total short-term investments$310,000 $— $— $310,000 
Total cash, cash equivalents, restricted cash, and short-term investments$556,409 $72 $— $556,481 
(1)Mutual funds held by the Company include Money Market Funds and Ultra-Short Funds. The fair value was determined using unadjusted prices in active, accessible markets for identical assets, and as such they were classified as Level 1 assets in the fair value hierarchy.
(2)The fair value of all short-term investments approximates cost basis. The Company did not recognize any realized gains or losses on the sale of investments during the three and nine months ended June 28, 2025.
Cash, cash equivalents and short-term investments consisted of the following as of September 28, 2024:
(in thousands)Amortized CostUnrealized
Gains
Unrealized
Losses
Estimated
Fair Value
Current assets:
Cash$26,800 $— $— $26,800 
Cash equivalents:
Mutual Funds (1)
157,590 89 — 157,679 
Time deposits (2)
42,668 — — 42,668 
Total cash and cash equivalents$227,058 $89 $— $227,147 
Short-term investments:
Time deposits (2)
350,000 — — 350,000 
Total short-term investments$350,000 $— $— $350,000 
Total cash, cash equivalents, restricted cash, and short-term investments$577,058 $89 $— $577,147 
(1)Mutual funds held by the Company include Money Market Funds. The fair value was determined using unadjusted prices in active, accessible markets for identical assets, and as such they were classified as Level 1 assets in the fair value hierarchy.
(2)The fair value of all short-term investments approximates cost basis. The Company did not recognize any realized gains or losses on the sale of investments during the three and nine months ended June 29, 2024.