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Fair Value Measurements (Table)
6 Months Ended
Jun. 02, 2012
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements [Table Text Block]
      Fair Value Measurements Using:
   June 2,         
Description  2012   Level 1   Level 2  Level 3
Assets:            
Marketable securities $ 68,720 $ 68,720 $ - $ -
Derivative assets   1,118   -   1,118  -
Interest rate swaps   8,930   -   8,930   -
Cash-flow hedges   7,267      7,267   
             
Liabilities:            
Derivative liabilities $ 2,473 $ - $ 2,473 $ -
Contingent consideration liability   1,876   -   -   1,876