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DEBT (Tables)
6 Months Ended
Jun. 26, 2022
Debt Disclosure [Abstract]  
Schedule of Line of Credit Facilities
Borrowings under the revolving facilities consisted of and bore interest at:
June 26,
2022
December 26,
2021
Base Rate$3,715,525 5.75 %$2,780,854 4.50 %
LIBOR14,000,000 2.97 %10,000,000 2.35 %
Total$17,715,525 $12,780,854 
Long-term debt consisted of and bore interest at:
June 26,
2022
December 26,
2021
Base Rate$— — %$2,237,500 2.35 %
Fixed rate— — %24,625,000 2.39 %
Long-term debt$— $26,862,500