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STOCK-BASED COMPENSATION (Tables)
12 Months Ended
Mar. 26, 2022
Share-Based Payment Arrangement [Abstract]  
Schedule of Restricted Stock Units Award Activity
      Total Grant Date     Number    
      Number Fair  Target  Of  Date 
Date  Measurement  of Units Value  Level  Shares  Shares 
Granted  Period  Granted Per Unit  Achieved  Issued  Issued 
April 2018  April 2018 – March 2020  1 $15.65 
Time Vested
  1  April 2020 
April 2017  April 2017 – March 2020  62 $12.90  79%  49  May 2020 
July 2020  July 2020  1 $27.08 
Time Vested
  1  July 2020 
September 2019  September 2019 – September 2020  18 $22.77 
Time Vested
  18  September 2020 
October 2018  October 2018 – September 2020  1 $20.81 
Time Vested
  1  October 2020 
January 2021  January 2021  3 $34.68 
Time Vested
  3  January 2021 
May 2018  April 2018 – March 2021  29 $15.30 
Time Vested
  29  March 2021 
April 2018  April 2018 – March 2021  1 $15.65 
Time Vested
  1  April 2021 
May 2018  April 2018 – March 2021  29 $15.30  64%  19  May 2021 
September 2020  September 2020 – September 2021  14 $28.52 
Time Vested
  14  September 2021  
October 2018  October 2018 – September 2021  1 $20.81 
Time Vested
  1  October 2021 
April 2019  April 2019 – March 2022  20 $23.50 
Time Vested
  20  March 2022 

 

Schedule of Restricted Stock Units Award Activity
       Total  Grant Date  Estimated
       Number  Fair  Level of
Date   Measurement  of Units  Value  Achievement at
Granted   Period  Granted  Per Unit  March 26, 2022
October 2018   October 2018 – September 2027  7  $20.81  Time Vested
May 2019   April 2019 – March 2022  20  $23.50  83% of target level
April 2020   April 2020 – March 2023  2  $26.25  Time Vested
July 2020   July 2020 – July 2023  27  $27.08  Time Vested
September 2020   September 2020 – July 2023  4  $28.54  Time Vested
September 2020   September 2020 – July 2023  5  $29.76  Time Vested
September 2020   September 2020 – September 2023  3  $29.76  Time Vested
January 2021   January 2021 – January 2024  2  $34.62  Time Vested
May 2021   May 2021 – May 2024  1  $54.21  Time Vested
June 2021   June 2021 – March 2024  11  $53.17  100% of target level
June 2021   June 2021 – March 2024  11  $53.17  Time Vested
September 2021   September 2021 – September 2024  4  $67.76  Time Vested
September 2021   September 2021 – September 2022  7  $66.09  Time Vested
December 2021   December 2021 – December 2024  1  $90.41  Time Vested
January 2022   January 2022 – March 2024  1  $90.92  100% of target level
January 2022   January 2022 – March 2024  1  $90.92  Time Vested
March 2022   March 2022 – March 2025  2  $76.31  Time Vested

 

Schedule of stock options granted using the Black-Scholes model
   FY 2022   FY 2021 
Risk-Free Interest Rate   1.01%   0.22%
Volatility Factor   30.22%   25.83%
Expected Term (in Years)   6.25    3.25 
Annual Dividend Rate   0.00%   0.00%

 

Schedule of Stock Options Activity
       Weighted   Weighted     
       Average   Average     
   Number   Exercise   Remaining   Aggregate 
   Of   Price Per   Contractual   Intrinsic 
   Options   Option   Term (in Years)   Value 
Outstanding as of March 28, 2020   150   $14.63           
Granted   20    27.48                  
Exercised   (45)   18.01           
Outstanding as of March 27, 2021   125    15.47           
Granted   131    61.29           
Exercised   (85)   12.00           
Forfeited   (6)   24.10           
Outstanding as of March 26, 2022   165    53.27    9   $3,462 
Exercisable as of March 26, 2022   2   $26.27    8   $1,770