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Foreign Exchange Contracts (Tables)
3 Months Ended
Sep. 30, 2011
Foreign Exchange Contracts [Abstract] 
Fair value and balance sheet location
                                                                 
    Asset Derivatives     Liability Derivatives  
    Sept. 30, 2011     Jul. 1, 2011     Sept. 30, 2011     Jul. 1, 2011  
Derivatives Designated as   Balance Sheet     Fair     Balance Sheet     Fair     Balance Sheet     Fair     Balance Sheet     Fair  
Hedging Instruments   Location     Value     Location     Value     Location     Value     Location     Value  
Foreign exchange contracts
                          Accrued Expenses     $ 33     Accrued Expenses     $ 5  
Gains (Losses) of Derivatives in Cash Flow Hedging Relationships
                                     
    Amount of Gain (Loss)         Amount of Gain (Loss)  
    Recognized in     Location of Gain   Reclassified from  
    Accumulated OCI     (Loss) Reclassified   Accumulated OCI into  
Derivatives in Cash   on Derivatives     from Accumulated   Income  
Flow Hedging Relationships   Sept. 30, 2011     Oct. 1, 2010     OCI into Income   Sept. 30, 2011     Oct. 1, 2010  
Foreign exchange contracts
  $ (8 )   $ 55     Cost of revenue   $ 11     $ 27