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Note J - Employee Post-Employment Benefits (Tables)
9 Months Ended
Mar. 04, 2014
Compensation and Retirement Disclosure [Abstract]  
Schedule of Net Benefit Costs [Table Text Block]
   

Pension Benefits

 
   

Thirteen weeks ended

   

Thirty-nine weeks ended

 
   

March 4, 2014

   

March 5, 2013

   

March 4, 2014

   

March 5, 2013

 

Service cost

  $ 89     $ 115     $ 267     $ 345  

Interest cost

    435       525       1,303       1,575  

Expected return on plan assets

    (111

)

    (102

)

    (333

)

    (306

)

Amortization of prior service cost (a)

 

      26    

      78  

Recognized actuarial loss

    427       565       1,283       1,695  

Net periodic benefit cost

  $ 840     $ 1,129     $ 2,520     $ 3,387  
   

Postretirement Medical and Life Benefits

 
   

Thirteen weeks ended

   

Thirty-nine weeks ended

 
   

March 4, 2014

   

March 5, 2013

   

March 4, 2014

   

March 5, 2013

 

Service cost

  $ 4     $ 3     $ 10     $ 9  

Interest cost

    16       15       50       45  

Amortization of prior service cost (a)

    (12

)

    (14

)

    (34

)

    (41

)

Recognized actuarial loss

    61       53       183       159  

Net periodic benefit cost

  $ 69     $ 57     $ 209     $ 172  
Schedule of Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block]
   

Thirteen weeks ended

   

Thirty-nine weeks ended

 
   

March 4, 2014

   

March 5, 2013

   

March 4, 2014

   

March 5, 2013

 

Recognized actuarial loss

  $ 489     $ 618     $ 1,466     $ 1,854  

Amortization of prior service cost

    (12

)

    13       (34

)

    38  
      477       631       1,432       1,892  

Income taxes

 

      (251

)

 

      (751

)

Pension liability reclassification, net of tax

  $ 477     $ 380     $ 1,432     $ 1,141  
Schedule of Unpaid Employee Separation Obligations Included in Accrued Payroll and Related Costs [Table Text Block]

Balance at June 4, 2013

  $ 310  

Employee severance and unused vacation accruals

    3,541  

Cash payments

    (2,976

)

Balance at March 4, 2014

  $ 875