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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 29, 2013
FAIR VALUE MEASUREMENTS [Abstract]  
Schedule of Assets and Liabilities Measured on a Recurring Basis
    September 29, 2013
        Level 1       Level 2       Level 3       Total
    (In thousands)
Derivative assets - commodity futures instruments   $      1,394     $      -   $           -   $      1,394  
Derivative assets - commodity options instruments     -       1,822     -     1,822  
Derivative assets - foreign currency futures instruments     238       -     -     238  
Deferred compensation plan assets     7,440       -     -     7,440  
Derivative liabilities - commodity futures instruments     (3,545 )     -     -     (3,545 )

    December 30, 2012
        Level 1       Level 2       Level 3       Total
    (In thousands)
Derivative assets - commodity futures instruments   $      1,821     $           -   $           -   $     1,821  
Deferred compensation plan assets     7,591       -     -     7,591  
Derivative liabilities - commodity futures instruments     (1,530 )     -     -     (1,530 )

    

Schedule of Carrying Amounts and Estimated Fair Values of Financial Assets and Liabilities
    September 29, 2013   December 30, 2012    
    Carrying   Fair   Carrying   Fair   Note
      Amount     Value     Amount     Value     Reference
              (In thousands)              
Derivative assets - commodity futures instruments   $     1,394     $     1,394     $     1,821     $     1,821     5
Derivative assets - commodity options instruments     1,822       1,822       -       -     5
Derivative assets - foreign currency futures instruments     238       238       -       -     5
Deferred compensation plan assets     7,440       7,440       7,591       7,591      
Derivative liabilities - commodity futures instruments     (3,545 )     (3,545 )     (1,530 )     (1,530 )   5
Long-term debt and other borrowing arrangements     (912,415 )     (973,089 )     (1,164,756 )     (1,208,730 )   8