v3.25.2
Business Segment Information - Restructuring and Other Action-Related Charges - Additional Information (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 28, 2025
Jun. 29, 2024
Jun. 28, 2025
Jun. 29, 2024
Dec. 28, 2024
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Loss on extinguishment of debt     $ 9,293 $ 0  
Headcount actions and related severance          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Employee termination and other benefits paid     20,664    
Operating profit          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges $ (1,191) $ 189,034 (82) 204,003  
Operating profit | Headcount actions and related severance          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges (1,028) 6,911 (819) 19,098  
Operating profit | Corporate asset impairment charges          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges 0 20,107 0 20,107  
Other expenses          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges 0 0 9,979 0  
Other expenses | Senior Secured Credit Facility          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Write off of deferred debt issuance cost     7,669    
Other expenses | Refinancing of Senior Secured Credit Facility and Redemption of 4.875% Senior Notes          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Loss on extinguishment of debt     9,979    
Other expenses | 4.875% Senior Notes [Member] | Senior Secured Credit Facility          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Redemption premium     1,394    
Other expenses | Term Loan A          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Debt issuance costs expensed     812    
Other expenses | Term Loan A | Senior Secured Credit Facility 2025          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Debt issuance costs expensed     686    
Selling, general and administrative expenses          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges 2,284 100,413 3,693 115,179  
Selling, general and administrative expenses | Headcount actions and related severance          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges     330    
Selling, general and administrative expenses | Corporate asset impairment charges | Impairment of owned and leased corporate facilities          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges       9,712  
Cost of sales          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges (3,475) $ 88,621 (3,775) 88,824  
Cost of sales | Corporate asset impairment charges | Impairment related to a contract termination          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Restructuring and other action-related charges       $ 10,395  
Accrued liabilities | Headcount actions and related severance          
Segment Reporting, Other Significant Reconciling Item [Line Items]          
Other employee-related liabilities, current $ 21,841   $ 21,841   $ 42,175