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Debt, Lease and Other Commitments - Additional Information (Detail) (USD $)
9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 9 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended
Oct. 04, 2014
Oct. 05, 2013
Jul. 17, 2014
Dec. 28, 2013
Aug. 07, 2014
Accounts Receivable Securitization Facility
Oct. 04, 2014
Accounts Receivable Securitization Facility
Aug. 07, 2014
Accounts Receivable Securitization Facility
Apr. 05, 2013
New Credit Facility
Oct. 04, 2014
New Credit Facility
Dec. 28, 2013
New Credit Facility
Apr. 05, 2013
New Credit Facility
Oct. 04, 2014
New Term Loan
Apr. 05, 2013
New Term Loan
Oct. 04, 2014
Minimum
Apr. 05, 2013
Minimum
New Credit Facility
Oct. 04, 2014
Maximum
Apr. 05, 2013
Maximum
New Credit Facility
Oct. 04, 2014
Letter of Credit
Apr. 05, 2013
Federal Funds Rate
New Credit Facility
Oct. 04, 2014
Base Rate Loans
Minimum
Apr. 05, 2013
Base Rate Loans
Minimum
New Credit Facility
Oct. 04, 2014
Base Rate Loans
Maximum
Apr. 05, 2013
Base Rate Loans
Maximum
New Credit Facility
Oct. 04, 2014
Eurodollar Loans
Minimum
Apr. 05, 2013
Eurodollar Loans
Minimum
New Credit Facility
Oct. 04, 2014
Eurodollar Loans
Maximum
Apr. 05, 2013
Eurodollar Loans
Maximum
New Credit Facility
Apr. 03, 2012
Debt Issuance Costs
Oct. 04, 2014
Debt Issuance Costs
Apr. 03, 2012
Debt Issuance Costs
Apr. 03, 2012
Debt Issuance Costs
Prior To January First Two Thousand And Twenty Two
Apr. 03, 2012
Debt Issuance Costs
Change Of Control Triggering Event
Oct. 04, 2014
4.375% Senior Notes
Mar. 28, 2012
4.375% Senior Notes
Oct. 04, 2014
Redeemable Senior Notes
Oct. 04, 2014
Standby Letters of Credit
Dec. 28, 2013
Standby Letters of Credit
Oct. 04, 2014
Secured Debt
Oct. 04, 2014
Revolving Credit Facility
Debt Instrument [Line Items]                                                                              
Bank overdraft balance $ 13,300,000     $ 16,300,000                                                                      
Line of credit facility outstanding daily balance during period 26,600,000     44,200,000         26,600,000 44,200,000       0   62,100,000   458,000,000                                   15,400,000 15,500,000    
Accounts receivable securitization 70,000,000     150,000,000                                                                      
Debt instrument covenant compliance As of October 4, 2014 and December 28, 2013, the company was in compliance with all restrictive financial covenants under the facility.                                                                            
Debt instrument face amount     150,000,000                   300,000,000                               400,000,000 400,000,000                  
Line of credit facility, maximum borrowing capacity             200,000,000       700,000,000 300,000,000                                                      
Line of credit extended term         1 year                                                                    
Line of credit facility, expiration date           Aug. 07, 2016                                                                  
Line of credit facility, remaining borrowing capacity for working capital and general corporate purposes           130,000,000                                                                  
Basis spread on variable rate                                     0.40% 0.00% 0.00% 1.25% 0.95% 1.00% 0.95% 2.25% 1.95%                     0.70%  
Unused borrowing fee                                                                           0.25%  
Financing cost 300,000                                                                         800,000  
Loan agreement first amendment date                       Feb. 14, 2014                                                      
Additional financing costs 577,000 2,111,000           300,000 1,700,000                                       3,900,000                    
Commitment Fee Basis Points                 0.20%                                                            
Price to redeem notes as a percentage of principal                                                       100.00%     100.00% 101.00%              
Variable interest rate                                                           0.35%                  
Term loan maturity date                                                                 Apr. 01, 2022   Jan. 01, 2022        
Notes bearing interest rate                                                                 4.375% 4.375%          
Discount on notes                                                         700,000                    
Line of credit facility, amount available 15,400,000                   500,000,000                                                        
Line of credit facility, additional borrowing capacity                     200,000,000                                                        
Minimum interest rate in addition to interbank Eurodollar market rate                     1.00%                                                        
Facility fee range                             0.05%   0.30%                                            
Financing costs                     1,600,000                                                        
Line of credit facility, borrowings                                                                             892,900,000
Line of credit facility, repaid borrowings                                                                             $ 910,500,000