Quarterly report pursuant to Section 13 or 15(d)

Long-Term Debt - Narrative (Details)

v3.22.0.1
Long-Term Debt - Narrative (Details)
1 Months Ended 3 Months Ended
Apr. 30, 2021
USD ($)
Oct. 15, 2020
USD ($)
Sep. 27, 2019
USD ($)
Dec. 14, 2017
USD ($)
Nov. 09, 2015
Nov. 30, 2020
USD ($)
Dec. 25, 2021
USD ($)
Dec. 26, 2020
USD ($)
Dec. 16, 2021
USD ($)
Oct. 31, 2020
USD ($)
Dec. 31, 2017
USD ($)
Apr. 22, 2016
Components of long-term debt                        
Premium paid on extinguishment of debt             $ 0 $ 6,124,000        
Line of credit facility, commitment fee percentage     0.125%                  
Domestic Subsidiary                        
Components of long-term debt                        
Stock or equity interest, percentage             100.00%          
Foreign Subsidiary                        
Components of long-term debt                        
Stock or equity interest, percentage             65.00%          
Revolving credit facility | LIBOR-based borrowings                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     0.00%                  
Letter of credit                        
Components of long-term debt                        
Letters of credit outstanding             $ 0          
Other letters of credit outstanding             1,500,000          
Standby letters of credit                        
Components of long-term debt                        
Letters of credit outstanding     $ 50,000,000                  
Short-term Debt                        
Components of long-term debt                        
Letters of credit outstanding     $ 75,000,000                  
Secured debt | Revolving credit facility                        
Components of long-term debt                        
Credit facility, maximum principal amount                 $ 750,000,000      
Credit facility, additional borrowings available                 $ 400,000,000      
Credit facility, available capacity             414,000,000          
Amount borrowed to partially finance acquisition             0          
Debt issuance costs             $ 2,200,000          
Debt instrument fixed charge coverage ratio                       1.00
Secured debt | Revolving credit facility | Fed Funds Effective Rate Overnight Index Swap Rate                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     0.50%                  
Secured debt | Revolving credit facility | One-month LIBOR                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     1.00%                  
Secured debt | Revolving credit facility | LIBOR-based borrowings                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility             1.00%          
Applicable interest rate on the credit facility             1.10%          
Secured debt | Revolving credit facility | LIBOR-based borrowings | Minimum                        
Components of long-term debt                        
Line of Credit Facility, Interest Rate During Period             0.00%          
Applicable interest margin rate on the credit facility     1.00%                  
Secured debt | Revolving credit facility | LIBOR-based borrowings | Maximum                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     1.50%                  
Secured debt | Revolving credit facility | Base rate borrowings                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility             0.00%          
Applicable interest rate on the credit facility             3.30%          
Secured debt | Revolving credit facility | Base rate borrowings | Minimum                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     0.00%                  
Secured debt | Revolving credit facility | Base rate borrowings | Maximum                        
Components of long-term debt                        
Applicable interest margin rate on the credit facility     0.50%                  
4.125% Senior Notes due 2031 | Upon change of control                        
Components of long-term debt                        
Debt redemption price percentage 101.00%                      
4.125% Senior Notes due 2031 | Senior notes                        
Components of long-term debt                        
Debt, aggregate principal amount $ 400,000,000                      
Interest rate 4.125%           4.125%          
Debt issuance costs $ 6,000,000                      
Debt option to redeem, percentage 40.00%                      
Debt redemption price percentage 104.125%                      
4.125% Senior Notes due 2031 | Senior notes | Redemption period one                        
Components of long-term debt                        
Debt redemption price percentage 102.063%                      
4.125% Senior Notes due 2031 | Senior notes | Redemption period two                        
Components of long-term debt                        
Debt redemption price percentage 101.375%                      
4.125% Senior Notes due 2031 | Senior notes | Redemption period three                        
Components of long-term debt                        
Debt redemption price percentage 100.688%                      
4.125% Senior Notes due 2031 | Senior notes | Redemption period four                        
Components of long-term debt                        
Debt redemption price percentage 100.00%                      
4.125% Senior Notes due 2030 | Senior notes                        
Components of long-term debt                        
Debt, aggregate principal amount   $ 500,000,000               $ 500,000,000    
Interest rate   4.125%         4.125%     4.125%    
Debt issuance costs   $ 8,000,000                    
Debt redemption price percentage   104.125%                    
Percentage of purchase price equal   100.00%                    
Redemption percentage   40.00%                    
4.125% Senior Notes due 2030 | Senior notes | Redemption period one                        
Components of long-term debt                        
Debt redemption price percentage   102.063%                    
4.125% Senior Notes due 2030 | Senior notes | Redemption period two                        
Components of long-term debt                        
Debt redemption price percentage   101.375%                    
4.125% Senior Notes due 2030 | Senior notes | Redemption period three                        
Components of long-term debt                        
Debt redemption price percentage   100.688%                    
4.125% Senior Notes due 2030 | Senior notes | Redemption period four                        
Components of long-term debt                        
Debt redemption price percentage   100.00%                    
4.125% Senior Notes due 2030 | Senior notes | Upon change of control                        
Components of long-term debt                        
Debt redemption price percentage       101.00%                
2023 Notes | Senior notes                        
Components of long-term debt                        
Interest rate   6.125%                    
Premium paid on extinguishment of debt           $ 6,100,000            
Interest expense, debt           1,400,000            
Write off of deferred debt issuance cost           $ 2,500,000            
2023 Notes | Senior notes | Redemption period two                        
Components of long-term debt                        
Debt redemption price percentage         101.531%              
5.125% Senior Notes due 2028 | Senior notes                        
Components of long-term debt                        
Debt, aggregate principal amount       $ 300,000,000             $ 300,000,000  
Interest rate       5.125%     5.125%       5.125%  
Debt issuance cost       $ 4,800,000                
5.125% Senior Notes due 2028 | Senior notes | Redemption period two                        
Components of long-term debt                        
Debt redemption price percentage       102.563%                
5.125% Senior Notes due 2028 | Senior notes | Redemption period three                        
Components of long-term debt                        
Debt redemption price percentage       101.708%                
5.125% Senior Notes due 2028 | Senior notes | Redemption period four                        
Components of long-term debt                        
Debt redemption price percentage       100.854%                
5.125% Senior Notes due 2028 | Senior notes | Redemption period five                        
Components of long-term debt                        
Debt redemption price percentage       100.00%                
5.125% Senior Notes due 2028 | Senior notes | Upon change of control                        
Components of long-term debt                        
Debt redemption price percentage       101.00%