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INDEBTEDNESS (DETAILS) (USD $)
6 Months Ended 6 Months Ended 6 Months Ended 6 Months Ended
Jul. 04, 2014
Jun. 28, 2013
Jan. 03, 2014
Jul. 04, 2014
Senior Debt Obligations [Member]
Jan. 03, 2014
Senior Debt Obligations [Member]
Mar. 15, 2012
Senior Debt Obligations [Member]
Jul. 04, 2014
3.85% Senior Notes (net of discount) [Member]
Jan. 03, 2014
3.85% Senior Notes (net of discount) [Member]
Mar. 15, 2012
3.85% Senior Notes (net of discount) [Member]
Jul. 04, 2014
5.00% Senior Notes (net of discount) [Member]
Jan. 03, 2014
5.00% Senior Notes (net of discount) [Member]
Mar. 15, 2012
5.00% Senior Notes (net of discount) [Member]
Jul. 04, 2014
Revolving Line of Credit [Member]
Jul. 04, 2014
Credit Facility Term Loan [Member]
Jan. 03, 2014
Credit Facility Term Loan [Member]
Jul. 04, 2014
Credit Facility Term Loan [Member]
Senior Debt Obligations [Member]
Jan. 03, 2014
Credit Facility Term Loan [Member]
Senior Debt Obligations [Member]
Indebtedness [Abstract]                                  
Bank term loans, net of debt issuance costs $ 602,000,000   $ 602,000,000                            
Senior Notes (net of discount)       999,000,000   999,000,000 400,000,000 400,000,000   599,000,000 599,000,000         999,000,000  
Revolving line of credit 84,000,000                       84,000,000        
Other indebtedness 145,000,000   111,000,000                            
Total indebtedness 1,830,000,000   1,712,000,000                            
Outstanding debt       1,000,000,000 1,000,000,000       400,000,000     600,000,000   605,000,000 605,000,000    
Interest rate at period end                 3.85%     5.00%   1.68% 1.67%    
Senior credit facility [Abstract]                                  
2011 Credit Facility term loan, basis spread on variable rate                           1.50%      
Line of credit facility, maximum borrowing capacity 47,000,000   51,000,000                            
Repayment of revolving line of credit 581,000,000 823,000,000                              
Debt Instrument, Covenant Compliance             We were in compliance with the covenants of our Senior Notes as of July 4, 2014.     We were in compliance with the covenants of our Senior Notes as of July 4, 2014.       We were in compliance with the covenants of our 2011 Credit Facility as of July 4, 2014.      
Fair values of our term loans                           603,000,000 603,000,000    
Senior Notes and Canadian Notes [Abstract]                                  
Senior Notes, unamortized discount                           1,000,000      
Senior Notes, interest rate, stated percentage                 3.85%     5.00%          
Senior Notes, future indebtedness threshold for guarantors             100,000,000     100,000,000              
Fair value of our Senior Notes       1,000,000,000 983,000,000                       983,000,000
Revolving line of credit [Abstract]                                  
Letters of credit issued, amount                         98,000,000        
Amounts available on our revolving credit facility 46,000,000   49,000,000                   818,000,000        
Other indebtedness [Abstract]                                  
Line of credit facility, aggregate borrowing capacity 47,000,000   51,000,000                            
Amounts available on our revolving credit facility $ 46,000,000   $ 49,000,000                   $ 818,000,000