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Note 13 - Accumulated Other Comprehensive (Loss) Income (Tables)
9 Months Ended
May. 30, 2015
Disclosure Text Block [Abstract]  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   

Thirteen Weeks Ended May 30, 2015

 
   

Foreign

Currency Translation

   

Pension- related

   

Derivative

Financial

Instruments

   

Total

Accumulated Other Comprehensive (Loss) Income

 

Balance as of February 28, 2015

  $ (14,181

)

  $ (6,510

)

  $ (644

)

  $ (21,335

)

                                 

Other comprehensive (loss) income before reclassification

    62             219       281  

Amounts reclassified from accumulated other comprehensive loss

                70       70  

Net current period other comprehensive (loss) income

    62             289       351  
                                 

Balance as of May 30, 2015

  $ (14,119

)

  $ (6,510

)

  $ (355

)

  $ (20,984

)

   

Thirty-nine Weeks Ended May 30, 2015

 
   

Foreign

Currency Translation

   

Pension- related

   

Derivative

Financial

Instruments

   

Total

Accumulated Other Comprehensive (Loss) Income

 

Balance as of August 30, 2014

  $ 2,711     $ (5,244

)

  $     $ (2,533

)

                                 

Other comprehensive (loss) income before reclassification

    (16,830 )     (1,417

)

    (425

)

    (18,672

)

Amounts reclassified from accumulated other comprehensive loss

          151       70       221  

Net current period other comprehensive (loss) income

    (16,830

)

    (1,266

)

    (355

)

    (18,451

)

                                 

Balance as of May 30, 2015

  $ (14,119

)

  $ (6,510

)

  $ (355

)

  $ (20,984

)

   

Thirteen Weeks Ended May 31, 2014

 
   

Foreign

Currency Translation

   

Pension- related

   

Derivative

Financial

Instruments

   

Total

Accumulated Other Comprehensive (Loss) Income

 

Balance as of March 1, 2014

  $ 1,148     $ (4,118

)

  $     $ (2,970

)

                                 

Other comprehensive (loss) income before reclassification

    2,338                   2,338  

Amounts reclassified from accumulated other comprehensive loss

                       

Net current period other comprehensive (loss) income

    2,338                   2,338  
                                 

Balance as of May 31, 2014

  $ 3,486     $ (4,118

)

  $     $ (632

)

   

Thirty-nine Weeks Ended May 31, 2014

 
   

Foreign

Currency Translation

   

Pension- related

   

Derivative

Financial

Instruments

   

Total

Accumulated Other Comprehensive (Loss) Income

 

Balance as of August 31, 2013

  $ 5,563     $ (4,118

)

  $     $ 1,445  
                                 

Other comprehensive (loss) income before reclassification

    (2,077 )                 (2,077

)

Amounts reclassified from accumulated other comprehensive loss

                       

Net current period other comprehensive (loss) income

    (2,077

)

                (2,077

)

                                 

Balance as of May 31, 2014

  $ 3,486

 

  $ (4,118

)

  $     $ (632

)

Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]
   

Thirteen weeks ended

   

Thirty-nine weeks ended

 
   

May 30,

     

May 31,

   

May 30,

     

May 31,

 
   

2015

     

2014

   

2015

     

2014

 

Pension benefit liabilities, net:

                                   

Actuarial losses

  $       $     $ 151  

(a)

  $  

Total, net of tax

                  151          

Derivative financial instruments, net:

                                   

Forward contracts

    70  

(b)

          70  

(b)

     

Total, net of tax

    70               70          

Total amounts reclassified, net of tax

    70               221