| Schedule of Components of Comprehensive Income |
The summary of the components of comprehensive income is as follows (in thousands): | | | | | | | | | | | | | | | | | | | | | | | | | Three Months Ended | | July 3, 2026 | | June 27, 2025 | | Pre-Tax Amount | Tax Effect | After-Tax Amount | | Pre-Tax Amount | Tax Effect | After-Tax Amount | | Net income | | | $ | 97,834 | | | | | $ | 71,952 | | | | | | | | | | | Foreign currency translation adjustments | 2,558 | | — | | 2,558 | | | 24,544 | | — | | 24,544 | | | Fair value of cash flow hedges | 4,423 | | (1,150) | | 3,273 | | | (13,389) | | 3,481 | | (9,908) | | | | | | | | | | | Other comprehensive income | 6,981 | | (1,150) | | 5,831 | | | 11,155 | | 3,481 | | 14,636 | | | Comprehensive income | | | 103,665 | | | | | 86,588 | | | Less: Net income attributable to noncontrolling interests | | | 176 | | | | | 169 | | | Comprehensive income attributable to Aramark stockholders | | $ | 103,489 | | | | | $ | 86,419 | | | | | | | | | | | Nine Months Ended | | July 3, 2026 | | June 27, 2025 | | Pre-Tax Amount | Tax Effect | After-Tax Amount | | Pre-Tax Amount | Tax Effect | After-Tax Amount | | Net income | | | $ | 296,475 | | | | | $ | 239,628 | | | | | | | | | | | Foreign currency translation adjustments | 8,305 | | — | | 8,305 | | | (2,438) | | — | | (2,438) | | | Fair value of cash flow hedges | 9,791 | | (2,546) | | 7,245 | | | (22,732) | | 5,910 | | (16,822) | | | | | | | | | | | Other comprehensive income (loss) | 18,096 | | (2,546) | | 15,550 | | | (25,170) | | 5,910 | | (19,260) | | | Comprehensive income | | | 312,025 | | | | | 220,368 | | | Less: Net income attributable to noncontrolling interests | | | 706 | | | | | 372 | | | Comprehensive income attributable to Aramark stockholders | | $ | 311,319 | | | | | $ | 219,996 | | | | | | | | | |
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| Schedule of Accumulated Other Comprehensive Loss |
Accumulated other comprehensive loss consists of the following (in thousands): | | | | | | | | | | | | | July 3, 2026 | | October 3, 2025 | | Pension plan adjustments | $ | (18,450) | | | $ | (18,450) | | | Foreign currency translation adjustments | (152,707) | | | (161,012) | | | Cash flow hedges | 19,301 | | | 12,056 | | | | | | | $ | (151,856) | | | $ | (167,406) | |
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