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Fair Value (Tables)
9 Months Ended
Jun. 28, 2014
Fair Value Disclosures [Abstract]  
Fair Values And Classification Of Financial Assets And Liabilities Measured On A Recurring Basis
 
 
Classification
Level 1
 
Level 2
 
Level 3
 
Total
Foreign currency forwards
 
Other current assets
$

 
$
784

 
$

 
$
784

 
 
Total assets
$

 
$
784

 
$

 
$
784

Foreign currency forwards
 
Other accrued liabilities
$

 
$
1,855

 
$

 
$
1,855

Foreign currency forwards
 
Other long-term liabilities

 
91

 

 
91

Interest rate swaps
 
Other accrued liabilities

 
346

 

 
346

Interest rate swaps
 
Other long-term liabilities

 
309

 

 
309

Acquisition contingent consideration
 
Other accrued liabilities

 

 
1,480

 
1,480

 
 
Total liabilities
$

 
$
2,601

 
$
1,480

 
$
4,081

Financial Liabilities Classified As Level 3 Within The Fair Value Hierarchy
 
 
Three Months Ended
 
Nine Months Ended
 
 
June 28,
2014
 
June 29,
2013
 
June 28,
2014
 
June 29,
2013
Balance at beginning of period
 
$
2,422

 
$
5,148

 
$
4,007

 
$
6,422

Acquisitions
 

 
(1,711
)
 

 
2,565

Increase (decrease) in discounted future cash flows recorded as interest expense
 
(83
)
 
25

 
73

 
244

Decrease in earn out provisions recorded as other expense (income)
 
(859
)
 

 
(350
)
 
(2,991
)
Settlements paid in cash
 

 

 
(2,250
)
 
(2,778
)
Balance at end of period
 
$
1,480

 
$
3,462

 
$
1,480

 
$
3,462