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Note O – Fair Value Measurements (Tables)
3 Months Ended
Sep. 02, 2014
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
   

 

Level    

September 2,

2014

   

June 3,

2014

 

Deferred compensation plan: other investments – Assets

    1     $ 8,808     $ 8,930  

Deferred compensation plan: other investments – Liabilities

    1       (8,808

)

    (8,930

)

Deferred compensation plan: RTI common stock – Equity

    1       455       622  

Deferred compensation plan: RTI common stock – Equity

    1       (455

)

    (622

)

Total

         

   

 
Fair Value Measurements, Nonrecurring [Table Text Block]
   

Fair Value Measurements

 
   

   Level

   

September 2, 2014

 

Long-lived assets held for sale

    2     $ 2,525  

Long-lived assets held for use

    2       37  

Total

          $ 2,562  
Schedule of Gains and Losses Recognized from Fair Value Measurements on Non-recurring Basis [Table Text Block]
     

13 weeks ended

 
     

September 2,

2014

   

September 3,

2013

 

Included within continuing operations

               

Long-lived assets held for sale

  $ 599     $ 269  

Long-lived assets held for use

    457       4,661  

Total

  $ 1,056     $ 4,930  
                   

Included within discontinued operations

          $ 153  
Fair Value, by Balance Sheet Grouping [Table Text Block]
   

September 2, 2014

   

June 3, 2014

 
   

Carrying

Value

   

Fair Value

(Level 2)

   

Carrying

Value

   

Fair Value

(Level 2)

 

Long-term debt and capital leases

  $ 257,512     $ 264,196     $ 258,691     $ 263,526  

Letters of credit

 

      408    

      405