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Accumulated Other Comprehensive Income (Loss) (Tables)
6 Months Ended
Dec. 29, 2013
Equity [Abstract]  
Schedule of Accumulated Other Comprehensive Income (Loss)
The following tables set forth the changes in accumulated other comprehensive income (loss) (in thousands):
 
 
Three Months Ended December 29, 2013
 
 
Cumulative Translation Adjustments
 
Derivative Financial Instruments
 
Pension and Postretirement Benefit Plans
 
Total
Beginning Balance
 
$
12,139

 
$
(3,954
)
 
$
(228,791
)
 
$
(220,606
)
Other Comprehensive Income (Loss) Before Reclassification
 
(3,625
)
 
(369
)
 

 
(3,994
)
Income Tax Benefit (Expense)
 

 
141

 

 
141

Net Other Comprehensive Income (Loss) Before Reclassifications
 
(3,625
)
 
(228
)
 

 
(3,853
)
Reclassifications:
 
 
 
 
 
 
 


Realized (Gains) Losses - Foreign Currency Contracts (1)
 

 
287

 

 
287

Realized (Gains) Losses - Commodity Contracts (1)
 

 
2,160

 

 
2,160

Realized (Gains) Losses - Interest Rate Swaps (1)
 

 
301

 

 
301

Amortization of Prior Service Costs (Credits) (2)
 

 

 
(679
)
 
(679
)
Amortization of Actuarial Losses (2)
 

 

 
7,824

 
7,824

Total Reclassifications Before Tax
 

 
2,748

 
7,145

 
9,893

Income Tax Expense (Benefit)
 

 
(1,052
)
 
(2,708
)
 
(3,760
)
Net Reclassifications
 

 
1,696

 
4,437

 
6,133

Other Comprehensive Income (Loss)
 
(3,625
)
 
1,468

 
4,437

 
2,280

Ending Balance
 
$
8,514

 
$
(2,486
)
 
$
(224,354
)
 
$
(218,326
)

 
 
Six Months Ended December 29, 2013
 
 
Cumulative Translation Adjustments
 
Derivative Financial Instruments
 
Pension and Postretirement Benefit Plans
 
Total
Beginning Balance
 
$
11,886

 
$
(3,673
)
 
$
(233,141
)
 
$
(224,928
)
Other Comprehensive Income (Loss) Before Reclassification
 
(3,372
)
 
(3,080
)
 

 
(6,452
)
Income Tax Benefit (Expense)
 

 
1,180

 

 
1,180

Net Other Comprehensive Income (Loss) Before Reclassifications
 
(3,372
)
 
(1,900
)
 

 
(5,272
)
Reclassifications:
 
 
 
 
 
 
 
 
Realized (Gains) Losses - Foreign Currency Contracts (1)
 

 
749

 

 
749

Realized (Gains) Losses - Commodity Contracts (1)
 

 
3,658

 

 
3,658

Realized (Gains) Losses - Interest Rate Swaps (1)
 

 
597

 

 
597

Amortization of Prior Service Costs (Credits) (2)
 

 

 
(1,358
)
 
(1,358
)
Amortization of Actuarial Losses (2)
 

 

 
15,553

 
15,553

Total Reclassifications Before Tax
 

 
5,004

 
14,195

 
19,199

Income Tax Expense (Benefit)
 

 
(1,917
)
 
(5,408
)
 
(7,325
)
Net Reclassifications
 

 
3,087

 
8,787

 
11,874

Other Comprehensive Income (Loss)
 
(3,372
)
 
1,187

 
8,787

 
6,602

Ending Balance
 
$
8,514

 
$
(2,486
)
 
$
(224,354
)
 
$
(218,326
)
(1) Amounts reclassified to net income (loss) are included in net sales or cost of goods sold. See Note 9 for information related to derivative financial instruments.
(2) Amounts reclassified to net income (loss) are included in the computation of net periodic expense, which is presented in cost of goods sold or engineering, selling, general and administrative expenses. See Note 7 for information related to pension and postretirement benefit plans.