| Schedule of Financial Information of Operating Segment |
The following table presents selected financial information with respect to the Company’s single operating segment for the 13-week and 26-week periods ended June 28, 2026 and June 29, 2025: | | | | | | | | | | | | | | | | | | | | | | | | | For the thirteen weeks ended | | For the twenty-six weeks ended | | June 28, 2026 | | June 29, 2025 | | June 28, 2026 | | June 29, 2025 | | Net sales | $ | 172,007 | | | $ | 166,661 | | | $ | 319,337 | | | $ | 319,705 | | | Cost of goods sold | 101,463 | | | 97,103 | | | 188,057 | | | 186,059 | | | Gross profit | 70,544 | | | 69,558 | | | 131,280 | | | 133,646 | | | Selling, general, and administrative | 40,427 | | | 32,954 | | | 75,829 | | | 69,653 | | | Research and development costs | 3,740 | | | 5,086 | | | 7,736 | | | 9,179 | | | Amortization of intangible assets | 3,416 | | | 3,350 | | | 6,844 | | | 6,882 | | | Loss on sale of assets | 28,259 | | | — | | | 28,224 | | | — | | | Restructuring costs | 840 | | | 355 | | | 1,715 | | | 818 | | | Other operating (income) expense | (8,903) | | | 299 | | | (9,341) | | | 257 | | | Total operating expense | 67,779 | | | 42,044 | | | 111,007 | | | 86,789 | | | Operating income | 2,765 | | | 27,514 | | | 20,273 | | | 46,857 | | | Change in fair value of warrant liability | (548) | | | (7) | | | (1,579) | | | (80) | | | Change in fair value of earn-out liability | (1,258) | | | (219) | | | (1,772) | | | (404) | | | | | | | | | | | Interest expense, net | 8,201 | | | 13,374 | | | 18,119 | | | 29,082 | | | Total non-operating expense | 6,395 | | | 13,148 | | | 14,768 | | | 28,598 | | | Income (loss) before income taxes | (3,630) | | | 14,366 | | | 5,505 | | | 18,259 | | | Income tax (benefit) expense | (1,200) | | | 3,503 | | | 679 | | | 4,579 | | | Net income (loss) | $ | (2,430) | | | $ | 10,863 | | | $ | 4,826 | | | $ | 13,680 | |
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