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Credit Agreement (Tables)
12 Months Ended
Sep. 27, 2015
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments and Interest Rates
At September 27, 2015, the principal amounts outstanding were Eurodollar Rate loans and interest rate information as of September 27, 2015, were as follows (amounts in millions, except percentages):
 
 
Principal Outstanding
 
Base Rate
 
Base Rate Margin
 
Eurodollar Rate Margin
 
Eurodollar Floor
 
Applicable Rate
Revolving and swingline loans
 
$
100.0

 
3.25
%
 
1.00
%
 
2.00
%
 
%
 
2.15
%
Term A loan
 
$
325.0

 
3.25
%
 
1.00
%
 
2.00
%
 
%
 
2.15
%
Term B loan
 
$
573.0

 
3.25
%
 
1.50
%
 
2.50
%
 
0.75
%
 
3.25
%