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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 29, 2012
FAIR VALUE MEASUREMENTS  
Schedule of financial assets and liabilities of the Company measured at fair value on recurring basis

 

 
  Level 2  
 
  December 29, 2012  

In thousands

       

Financial Assets:

       

Derivatives

  $ 1,037  

Financial Liabilities:

       

Derivatives

  $  
Schedule of non-financial assets of the Company measured at fair value on non-recurring basis

 

 
   
  Fair Value Measured and Recorded at Reporting Date Using:    
 
 
  Net Carrying
Value as of
December 29, 2012
  Total Losses —
Year Ended
December 29, 2012
 
 
  Level 1   Level 2   Level 3  

In thousands

                               

Property and equipment     

  $ 22,710   $   $   $ 22,710   $ 39,737  

 
   
  Fair Value Measured and Recorded at Reporting Date Using:    
 
 
  Net Carrying
Value as of
December 31, 2011
  Total Losses —
Year Ended
December 31, 2011
 
 
  Level 1   Level 2   Level 3  

In thousands

                               

Property and equipment     

  $ 21,240   $   $   $ 21,240   $ 26,480  

Intangible assets

                    1,024  

 
   
  Fair Value Measured and Recorded at Reporting Date Using:    
 
 
  Net Carrying
Value as of
January 1, 2011
  Total Losses —
Year Ended
January 1, 2011
 
 
  Level 1   Level 2   Level 3  
In thousands
   
   
   
   
   
 

Property and equipment     

  $ 4,600   $   $   $ 4,600   $ 10,508  

Intangible assets

                    2,594  

Assets held for sale

                    8,018  
Schedule of fair values and carrying values of the Company's debt instruments

 

 
 
December 29, 2012
   
   
 
 
  December 31, 2011  
 
   
  Carrying Value  
 
  Fair Value   Fair Value   Carrying Value  
In thousands
   
   
   
   
 

5.0% Euro Notes, due July 2013(a)

  $   $   $ 145,491   $ 157,139  

6.0% Convertible Senior Notes, due June 2014(a)

    69,088     18,287     174,397     60,270  

10.5% Senior Secured Notes due April 2019(a)

    410,828     383,662     234,850     220,085  
(a)
Carrying values include unamortized debt discount or premium.