v3.26.1
RESTRUCTURING CHARGES (Tables)
9 Months Ended
Jun. 26, 2026
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserves
The liability for restructuring reserves is included within Other current liabilities in the Company's condensed consolidated balance sheets as follows: 

ElectricalSafety & InfrastructureOther/ Corporate
(in thousands)SeveranceOtherSeveranceSeveranceTotal
Balance as of September 30, 2025$845 $— $227 $257 $1,329 
Charges445 167 928 (13)1,527 
Utilization(772)(162)(245)(244)(1,423)
Balance as of December 26, 2025$518 $$910 $— $1,433 
Charges514 2,809 805 — 4,128 
Utilization(603)(2,555)(309)— (3,467)
Balance as of March 27, 2026$429 $259 $1,406 $— $2,094 
Charges422 1,376 864 270 2,932 
Utilization(738)(1,627)(2,270)(270)(4,905)
Balance as of June 26, 2026$113 $$— $— $121 
Schedule of Restructuring and Related Costs The net restructuring charges included as a component of Selling, general and administrative expenses in the Company's condensed consolidated statements of operations were as follows:
Three months endedNine months ended
(in thousands)June 26, 2026June 27, 2025June 26, 2026June 27, 2025
Total restructuring charges, net$2,932 $602 $8,587 $1,518