Annual report pursuant to Section 13 and 15(d)

Other Charges (Gains), net (Tables)

v3.22.4
Other Charges (Gains), net (Tables)
12 Months Ended
Dec. 25, 2022
Other Income and Expenses [Abstract]  
Schedule of Other Charges Other charges consist of the following (in thousands):
Year Ended
December 25, 2022 December 26, 2021 December 27, 2020
Asset impairment $ 38,534  $ 7,052  $ 26,940 
Gain on sale of restaurant property (9,204) —  — 
Severance and executive transition, net of $(3,299) and $0 in stock-based compensation
2,280  —  881 
Other financing costs 1,462  —  — 
Restaurant closure costs, net 828  6,276  19,846 
Closed corporate office costs, net of sublease income 475  —  — 
COVID-19 related charges 438  1,288  1,858 
Litigation contingencies 4,148  1,330  6,440 
Board and stockholder matter costs —  128  2,504 
Goodwill Impairment —  —  95,414 
Other charges (gains), net $ 38,961  $ 16,074  $ 153,883