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Note 3 - Stock-based Compensation (Tables)
9 Months Ended
Dec. 24, 2022
Notes Tables  
Share-Based Payment Arrangement, Restricted Stock and Restricted Stock Unit, Activity [Table Text Block]
    

Total

  

Grant Date

 

Estimated

    

Number

  

Fair

 

Level of

Date

 

Measurement

 

of Units

  

Value

 

Achievement at

Granted

 

Period

 

Outstanding

  

Per Unit

 

December 24, 2022

October 2018

 

October 2018 – September 2027

 6  $20.81 

Time Vested

April 2020

 

April 2020 – March 2023

 2  $26.25 

Time Vested

July 2020

 

July 2020 – July 2023

 26  $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

 1  $34.62 

Time Vested

May 2021

 

May 2021 – May 2024

 1  $54.21 

Time Vested

June 2021

 

June 2021 – March 2024

 10  $53.17 

150% 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

December 2021

 

December 2021 – December 2024

 1  $90.41 

Time Vested

January 2022

 

January 2022 – March 2024

 2  $90.92 

Time Vested

March 2022

 

March 2022 – March 2025

 2  $76.31 

Time Vested

May 2022

 

May 2022-March 2025

 12  $63.17 

100% of target level

May 2022

 

May 2022-March 2025

 11  $63.17 

Time Vested

August 2022

 

August 2022-August 2025

 1  $78.04 

Time Vested

December 2022

 

December 2022 -December 2025

 1  $81.26 

Time Vested

December 2022

 

December 2022 - December 2025

 1  $67.48 

Time Vested

September 2022

 

September 2022-September 2023

 5  $73.80 

Time Vested

Schedule of Share-Based Payment Award, Stock Options, Valuation Assumptions [Table Text Block]
  

Nine Months Ended

 
  

December 24,

  

December 25,

 
  

2022

  

2021

 
         

Risk-Free Interest Rate

  2.65%  1.00%

Volatility Factor

  37.62%  29.95%

Expected Term (in Years)

  4.58   6.38 

Annual Dividend Rate

  0.00%  0.00%
Share-Based Payment Arrangement, Option, Activity [Table Text Block]
      

Weighted

  

Weighted

     
      

Average

  

Average

     
  

Number

  

Exercise

  

Remaining

  

Aggregate

 
  

Of

  

Price Per

  

Contractual

  

Intrinsic

 
  

Options

  

Option

  

Term (in years)

  

Value

 

Outstanding as of March 26, 2022

  165  $53.27         

Granted

  56  $62.46         

Exercised

  (4) $6.19         

Forfeited

  -  $-         

Outstanding as of December 24, 2022

  217  $56.25   7  $2,980 

Exercisable as of December 24, 2022

  28  $53.76   9  $454