v3.25.2
Restructuring - Schedule of Restructuring-related Liabilities (Detail) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2025
Jun. 24, 2025
Jun. 24, 2025
Dec. 28, 2024
Dec. 30, 2023
2024 Plan          
Restructuring Cost and Reserve [Line Items]          
Restructuring charges   $ 2,940 $ 4,411    
2024 Plan | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance $ 6,476   7,312    
Restructuring charges     3,720 $ 16,829  
Payments     (5,247) (9,731)  
Change in estimate     691 214  
Ending Balance 6,476 6,476 6,476 7,312  
2024 Plan | Lease Termination Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance     168    
Restructuring charges       168  
Payments     (168)    
Ending Balance       168  
2024 Plan | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance 6,476   7,144    
Restructuring charges     3,062 15,520  
Payments     (4,421) (8,590)  
Change in estimate     691 214  
Ending Balance 6,476 6,476 6,476 7,144  
2024 Plan | Other Cash Restructuring Charges | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Restructuring charges     658 1,141  
Payments     (658) (1,141)  
2023 Plan          
Restructuring Cost and Reserve [Line Items]          
Restructuring charges   (4,034) (4,533)    
2023 Plan | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance 1,627   9,732 26,758 $ 13,608
Restructuring charges       5,491 47,106
Payments     (3,572) (22,123) (33,956)
Change in estimate     (4,533) (394)  
Ending Balance 1,627 1,627 1,627 9,732 26,758
2023 Plan | Other Cash Restructuring Charges | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance       344  
Restructuring charges       581 1,577
Payments       (925) (1,233)
Ending Balance         344
2023 Plan | Real Estate Restructuring | Lease Termination Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance       156  
Restructuring charges         12,924
Payments       (21) (12,768)
Change in estimate       (135)  
Ending Balance         156
2023 Plan | Real Estate Restructuring | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance 440   3,266 2,663 1,798
Restructuring charges       2,363 5,678
Payments     (619) (1,835) (4,813)
Change in estimate     (2,207) 75  
Ending Balance 440 440 440 3,266 2,663
2023 Plan | Organizational Restructuring | Employee Termination Benefit Costs | Cash Restructuring-Related Liabilities Roll-Forward          
Restructuring Cost and Reserve [Line Items]          
Beginning Balance 1,187   6,466 23,595 11,810
Restructuring charges       2,547 26,927
Payments     (2,953) (19,342) (15,142)
Change in estimate     (2,326) (334)  
Ending Balance $ 1,187 $ 1,187 $ 1,187 $ 6,466 $ 23,595