The following is a summary of supplemental cash flow information for the periods presented (in thousands): | | | | | | | | | | | | | Nine Months Ended | | July 3, 2026 | | July 4, 2025 | | Cash paid for interest | $ | 3,822 | | | $ | 2,332 | | | Cash paid for income taxes | $ | 10,188 | | | $ | 9,839 | | | Non-cash activities: | | | | | Issuance of common stock for convertible note exchange | $ | — | | | $ | 205,915 | | | Issuance of common stock for settlement of convertible notes | $ | 283,650 | | | $ | — | | | Operating lease right-of-use assets obtained in exchange for new lease liabilities | $ | 6,751 | | | $ | 8,472 | | | Finance lease assets obtained in exchange for new lease liabilities | $ | — | | | $ | 129 | | | Additions to property and equipment, net included in liabilities | $ | 3,460 | | | $ | 969 | | | Purchase of software licenses and licensed technology included in liabilities | $ | 1,212 | | | $ | 5,578 | |
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