XML 44 R33.htm IDEA: XBRL DOCUMENT v3.24.4
Note 3 - Business Combination - Restructuring Activity (Details) - USD ($)
3 Months Ended
Dec. 28, 2024
Dec. 30, 2023
Restructuring charges $ 696,000 $ 0
Engineered Wire Products, Inc. [Member]    
Restructuring charges 674,000  
Cash payments (275,000)  
Non-cash charges (270,000)  
Liability 129,000  
Engineered Wire Products, Inc. [Member] | Employee Severance [Member]    
Restructuring charges 192,000  
Cash payments (138,000)  
Liability 54,000  
Engineered Wire Products, Inc. [Member] | Facility Closing [Member]    
Restructuring charges 212,000  
Cash payments (137,000)  
Liability 75,000  
Engineered Wire Products, Inc. [Member] | Asset Impairments [Member]    
Restructuring charges 270,000  
Non-cash charges (270,000)  
Liability 0  
O'Brien Wire Products of Texas [Member]    
Restructuring charges 22,000  
Cash payments 0  
Non-cash charges (3,000)  
Liability 11,000  
O'Brien Wire Products of Texas [Member] | Facility Closing [Member]    
Restructuring charges 19,000  
Cash payments (8,000)  
Liability 11,000  
O'Brien Wire Products of Texas [Member] | Asset Impairments [Member]    
Restructuring charges 3,000  
Non-cash charges (3,000)  
Liability $ 0