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Derivative Financial Instruments (Tables)
3 Months Ended
Jan. 24, 2014
Derivative Financial Instruments [Abstract]  
Description Of Derivative Assets And Liabilities To Fair Value Measurement
    Fair Value at   Fair Value at   Fair Value at
    January 24, 2014   October 25, 2013   January 25, 2013
Assets            
Prepaid expenses and other:            
Foreign currency contracts $ $ $
Total Assets $ $ $
Liabilities            
Accrued liabilities other:            
Foreign currency contracts $ 398 $ 145 $ 5
Total Liabilities $ 398 $ 145 $ 5
Derivative Gains (Losses) Recognized In Accumulated Other Comprehensive Income And Statement Of Income Classification
    Amount of Gain          
    (Loss)          
    recognized in   Statement of Operations   Gain (Loss) in  
Quarter Ended January 24, 2014   AOCI1   Classification   Income1  
Derivatives designated as cash flow hedges              
Foreign currency contracts $ (253 ) Other income / (expense), net $ (116 )
Treasury lock contracts   320   Interest expense   (320 )
Total derivatives designated as cash flow hedges $ 67   Total $ (436 )
    Amount of Gain          
    (Loss)          
    recognized in   Statement of Operations   Gain (Loss) in  
Quarter Ended January 25, 2013   AOCI1   Classification   Income1  
Derivatives designated as cash flow hedges              
Foreign currency contracts $ (20 ) Other income / (expense), net $ (55 )
Treasury lock contracts   319   Interest expense   (319 )
Total derivatives designated as cash flow hedges $ 299   Total $ (374 )

 

1     
Accumulated other comprehensive income (loss) (AOCI) is included in the Condensed Consolidated Balance Sheets in the Stockholders' Equity section and is reported net of tax. The amounts disclosed in the above table are reported pretax and represent the quarterly derivative activity.