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FAIR VALUE MEASUREMENTS (Details) (USD $)
12 Months Ended
Oct. 27, 2013
Oct. 28, 2012
Methods and assumptions used to estimate the fair value of the financial assets and liabilities    
Guarantee period at issue for rate of return on fixed income funds 1 year  
Recognized right to reclaim cash collateral $ 35,700,000 $ 27,500,000
Recognized obligation to return cash collateral   31,100,000
Fair value, long-term debt    
Fair value of long-term debt (including current maturities) 261,700,000 283,600,000
Recurring basis | Fair Value
   
Assets at Fair Value:    
Cash and cash equivalents 434,014,000 682,388,000
Short-term marketable securities   77,387,000
Other trading securities 114,300,000 109,676,000
Commodity derivatives 6,086,000 3,884,000
Total Assets at Fair Value 554,400,000 873,335,000
Liabilities at Fair Value:    
Deferred compensation 52,771,000 47,953,000
Total Liabilities at Fair Value 52,771,000 47,953,000
Recurring basis | Quoted Prices in Active Markets for Identical Assets (Level 1)
   
Assets at Fair Value:    
Cash and cash equivalents 434,014,000 682,388,000
Short-term marketable securities   2,349,000
Other trading securities 38,489,000 36,305,000
Commodity derivatives 6,086,000 3,884,000
Total Assets at Fair Value 478,589,000 724,926,000
Liabilities at Fair Value:    
Deferred compensation 21,257,000 16,866,000
Total Liabilities at Fair Value 21,257,000 16,866,000
Recurring basis | Significant Other Observable Inputs (Level 2)
   
Assets at Fair Value:    
Short-term marketable securities   75,038,000
Other trading securities 75,811,000 73,371,000
Total Assets at Fair Value 75,811,000 148,409,000
Liabilities at Fair Value:    
Deferred compensation 31,514,000 31,087,000
Total Liabilities at Fair Value $ 31,514,000 $ 31,087,000