Basis of Presentation and Preparation - Contingent Consideration, and Concentration of Credit Risk (Details) |
12 Months Ended |
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Oct. 02, 2022
Institution
| |
Concentration of Credit Risk | |
Financial institutions, in any such number of which investment exposure is limited | 1 |
Accounts receivable due from various agencies of the U.S. federal government (as a percent) | 23.00% |
U.S. government | |
Concentration of Credit Risk | |
Revenue from customers (as a percent) | 48.00% |
U.S. commercial | |
Concentration of Credit Risk | |
Revenue from customers (as a percent) | 21.00% |
International | |
Concentration of Credit Risk | |
Revenue from customers (as a percent) | 31.00% |
Minimum | |
Contingent Consideration | |
Earn-out period | 3 years |
Maximum | |
Contingent Consideration | |
Earn-out period | 5 years |