v3.26.1
Fair Value Measures (Tables)
9 Months Ended
Jun. 27, 2026
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets Measured on Recurring Basis
The following table presents the Company’s financial assets measured and recorded at fair value on a recurring basis using the above input categories as of June 27, 2026 and September 27, 2025 (in thousands):
June 27, 2026
September 27, 2025
Level 1
Level 2
Level 3
Total
Level 1
Level 2
Level 3
Total
Assets:
Money market funds
$
1,086,774 
$
— 
$
— 
$
1,086,774 
$
1,193,375 
$
— 
$
— 
$
1,193,375 
Strategic investments
— 
43,455 
87,707 
131,162 
— 
16,789 
43,334 
60,123 
Total assets
$
1,086,774 
$
43,455 
$
87,707 
$
1,217,936 
$
1,193,375 
$
16,789 
$
43,334 
$
1,253,498