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Fair Value Of Financial Instruments (Schedule Of Available-For-Sale Securities) (Details) (USD $)
In Thousands
Jun. 25, 2011
Mar. 26, 2011
Amortized Costs $ 108,329 $ 172,214
Gross Unrealized Gains 51 63
Gross Unrealized Losses (30) (47)
Estimated Fair Value (Net Carrying Amount) 108,350 172,230
Corporate Securities - U.S. [Member]
   
Amortized Costs 43,723 64,228
Gross Unrealized Gains 26 22
Gross Unrealized Losses (30) (38)
Estimated Fair Value (Net Carrying Amount) 43,719 64,212
Commercial Paper [Member]
   
Amortized Costs 32,280 56,130
Gross Unrealized Gains 10 23
Gross Unrealized Losses   (7)
Estimated Fair Value (Net Carrying Amount) 32,290 56,146
U.S. Government Securities [Member]
   
Amortized Costs 21,485 35,268
Gross Unrealized Gains 9 13
Gross Unrealized Losses    
Estimated Fair Value (Net Carrying Amount) 21,494 35,281
Agency Discount Notes [Member]
   
Amortized Costs 10,841 16,588
Gross Unrealized Gains 6 5
Gross Unrealized Losses   (2)
Estimated Fair Value (Net Carrying Amount) $ 10,847 $ 16,591