v3.26.1
CONDENSED CONSOLIDATED STATEMENTS OF PARTNERS' CAPITAL (unaudited) - USD ($)
shares in Thousands, $ in Thousands
Total
At The Market Program [Member]
Common Unitholders [Member]
Common Unitholders [Member]
At The Market Program [Member]
Accumulated Other Comprehensive (Loss) [Member]
Balance, beginning of period at Sep. 28, 2024 $ 547,060   $ 553,207   $ (6,147)
Balance (in units) at Sep. 28, 2024     64,072    
Net income 141,706   $ 141,706    
Other comprehensive (loss) 100       100
Partnership distributions (62,896)   (62,896)    
Common Units issued under Restricted Unit Plan (2,782)   $ (2,782)    
Common Units issued under Restricted Unit Plan (in units)     445    
Net proceeds from the issuance of Common Units under an at-the-market equity program   903      
Proceeds from the issuance of Common Units under an at-the-market equity program, net of commissions and offering costs 16,867 $ 16,867      
Net proceeds from the issuance of Common Units under an at-the-market equity program   $ (884)      
Compensation costs recognized under Restricted Unit Plan 6,055   $ 6,055    
Balance, end of period at Jun. 28, 2025 646,110   $ 652,157   (6,047)
Balance (in units) at Jun. 28, 2025     65,420    
Balance, beginning of period at Mar. 29, 2025 671,809   $ 678,189   (6,380)
Balance (in units) at Mar. 29, 2025     64,939    
Net income (14,835)   $ (14,835)    
Other comprehensive (loss) 333       (333)
Partnership distributions (21,112)   $ (21,112)    
Common Units issued under Restricted Unit Plan (in units)     20    
Net proceeds from the issuance of Common Units under an at-the-market equity program   461      
Proceeds from the issuance of Common Units under an at-the-market equity program, net of commissions and offering costs   $ 8,079   $ 8,079  
Net proceeds from the issuance of Common Units under an at-the-market equity program   $ (589)      
Compensation costs recognized under Restricted Unit Plan 1,836   $ 1,836    
Balance, end of period at Jun. 28, 2025 646,110   $ 652,157   (6,047)
Balance (in units) at Jun. 28, 2025     65,420    
Balance, beginning of period at Sep. 27, 2025 598,571   $ 604,054   (5,483)
Balance (in units) at Sep. 27, 2025     65,845    
Net income 165,795   $ 165,795    
Other comprehensive (loss) (328)       (328)
Partnership distributions (64,524)   (64,524)    
Common Units issued under Restricted Unit Plan (2,120)   $ (2,120)    
Common Units issued under Restricted Unit Plan (in units)     344    
Net proceeds from the issuance of Common Units under an at-the-market equity program   523      
Proceeds from the issuance of Common Units under an at-the-market equity program, net of commissions and offering costs 9,748 $ 9,748      
Net proceeds from the issuance of Common Units under an at-the-market equity program   $ (346)      
Compensation costs recognized under Restricted Unit Plan 5,880   $ 5,880    
Balance, end of period at Jun. 27, 2026 713,022   $ 718,833   (5,811)
Balance (in units) at Jun. 27, 2026     66,712    
Balance, beginning of period at Mar. 28, 2026 743,902   $ 749,604   (5,702)
Balance (in units) at Mar. 28, 2026     66,334    
Net income (17,527)   $ (17,527)    
Other comprehensive (loss) (109)       (109)
Partnership distributions (21,567)   (21,567)    
Common Units issued under Restricted Unit Plan (37)   $ (37)    
Common Units issued under Restricted Unit Plan (in units)     27    
Net proceeds from the issuance of Common Units under an at-the-market equity program   351      
Proceeds from the issuance of Common Units under an at-the-market equity program, net of commissions and offering costs   $ 6,614   $ 6,614  
Net proceeds from the issuance of Common Units under an at-the-market equity program   $ (188)      
Compensation costs recognized under Restricted Unit Plan 1,746   $ 1,746    
Balance, end of period at Jun. 27, 2026 $ 713,022   $ 718,833   $ (5,811)
Balance (in units) at Jun. 27, 2026     66,712