v3.26.1
Other Current Assets (Tables)
12 Months Ended
Mar. 28, 2026
Other Current Assets [Abstract]  
Composition of Other Current Assets

Other Current Assets

(thousands)

March 28, 2026

March 29, 2025

Insurance receivable

$

19,771

$

11,950

Vendor rebates receivable

10,397

16,029

Prepaid assets

9,349

8,663

Divestiture deferred proceeds receivable

3,474

Other

12,009

19,310

Total

$

51,526

$

59,426