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Restructuring Charges (Details) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
May 30, 2014
Nov. 29, 2013
Summary of Restructuring Plans [Roll Forward]    
Beginning accrued restructuring charges $ 13,888  
Costs incurred 528  
Cash Payments (4,378)  
Restructuring Reserve, Translation and Other Adjustment (312)  
Ending accrued restructuring charges 9,726  
Restructuring Charges (Numeric) [Abstract]    
Accrued restructuring, current 3,627 6,171 [1]
Accrued restructuring, non-current 6,099 7,717 [1]
Cost of closing redundant facilities [Member]
   
Summary of Restructuring Plans [Roll Forward]    
Beginning accrued restructuring charges 11,655  
Costs incurred 528  
Cash Payments (3,811)  
Restructuring Reserve, Translation and Other Adjustment 65  
Ending accrued restructuring charges 8,437  
Restructuring Charges (Numeric) [Abstract]    
Percentage of Restructuring Charges Scheduled to be Paid 36.00%  
Termination benefits [Member]
   
Summary of Restructuring Plans [Roll Forward]    
Beginning accrued restructuring charges 2,233  
Costs incurred 0  
Cash Payments (567)  
Restructuring Reserve, Translation and Other Adjustment (377)  
Ending accrued restructuring charges $ 1,289  
[1] The Condensed Consolidated Balance Sheet as of November 29, 2013 has been derived from the audited Consolidated Financial Statements at that date but does not include all of the information and footnotes required by generally accepted accounting principles for complete financial statements.