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ACQUISITIONS - Summary of Level 3 Fair Values Assigned to Net Assets Acquired and Liabilities Assumed As of Acquisition Date (Details) - USD ($)
$ in Thousands
Feb. 24, 2021
Mar. 25, 2022
Sep. 30, 2021
Fair value of assets acquired and liabilities assumed:      
Excess purchase price attributed to goodwill acquired   $ 212,167 $ 199,048
FRE Composite      
Fair value of consideration transferred:      
Cash consideration $ 36,993    
Fair value of assets acquired and liabilities assumed:      
Cash 437    
Accounts receivable 2,163    
Inventories 3,355    
Intangible assets 18,300    
Fixed assets 8,509    
Accounts payable (1,186)    
Income taxes (4,293)    
Other (240)    
Net assets acquired 27,045    
Excess purchase price attributed to goodwill acquired $ 9,948