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DERIVATIVE INSTRUMENTS (Tables)
12 Months Ended
Dec. 29, 2012
DERIVATIVE INSTRUMENTS  
Summary of fair value and presentation in Condensed Consolidated Financial Statements for derivatives designated as hedging instruments and derivatives not designated as hedging instruments

 

 
  Foreign Currency Contracts Not Designated as Hedging Instruments  
 
  Asset Derivatives   Liability Derivatives  
Period
  Balance Sheet
Location
  Notional
Amount
  Fair Value   Balance Sheet
Location
  Notional
Amount
  Fair Value  
In thousands
   
   
   
   
   
   
 

December 29, 2012

  Other current assets   $ 47,486   $ 1,037   Accrued expenses   $   $  
Summary of effect of foreign currency exchange contracts on Condensed Consolidated Financial Statements

 

 
  Amount of Gain or
(Loss) Recognized in
Accumulated OCI
on Derivative
(Effective Portion)
  Location of Gain or
(Loss) Reclassified
from Accumulated
OCI into Operations
(Effective and
Ineffective Portion)
  Amount of Gain or
(Loss) Reclassified
from Accumulated
OCI into Operations
(Effective Portion)
  Amount of Gain or
(Loss) Recognized in
Operations on
Derivative
(Ineffective Portion)
 
In thousands
   
   
   
   
 

Fiscal year ended December 31, 2011

  $ (4,482 ) Discontinued operations, net of income taxes   $ (7,590 ) $  

Fiscal year ended January 1, 2011

    3,487   Discontinued operations, net of income taxes     (802 )   (282 )
Schedule of recognized the following foreign currency translation (losses) gains related to the net investment hedge

 

 
  Fiscal Years Ended  
 
  December 31,
2011
  January 1,
2011
 
In thousands
   
   
 

Effective portion recognized within Accumulated OCI

  $ (10,216 ) $ 13,095  

Ineffective portion recognized within Other (expense) income, net

    4,954     21,555