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Basis of Presentation and Significant Accounting Policies (Details) (USD $)
12 Months Ended
Nov. 29, 2013
Nov. 30, 2012
Dec. 02, 2011
Other Details [Abstract]      
Aggregate fair value of derivative instruments, Liabilities $ 1,067,000 [1] $ 998,000 [1]  
Aggregate fair value of derivative instruments, Assets 11,891,000 [2] 13,513,000 [2]  
Advertising expenses 88,500,000 99,400,000 75,100,000
Number of weeks in current fiscal year P52W P52W P52W
Revenue Reserve [Member]
     
Movement in Valuation Allowances and Reserves [Roll Forward]      
Beginning balance 57,058,000 60,887,000 49,426,000
Amount charged to revenue 74,031,000 170,839,000 162,491,000
Actual returns 102,425,000 174,668,000 151,030,000
Ending balance 28,664,000 57,058,000 60,887,000
Allowance for Doubtful Accounts [Member]
     
Movement in Valuation Allowances and Reserves [Roll Forward]      
Beginning balance 12,643,000 15,080,000 15,233,000
Increase due to acquisition 1,038,000 325,000 269,000
Charged to operating expenses 933,000 3,356,000 6,271,000
Deductions, net of recoveries 4,386,000 [3] 6,118,000 [3] 6,693,000 [3]
Ending balance $ 10,228,000 $ 12,643,000 $ 15,080,000
[1] Included in accrued expenses on our Consolidated Balance Sheets.
[2] Included in prepaid expenses and other current assets on our Consolidated Balance Sheets.
[3] Deductions related to the allowance for doubtful accounts represent amounts written off against the allowance, less recoveries.