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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 29, 2013
FAIR VALUE MEASUREMENTS [Abstract]  
Schedule of Assets and Liabilities Measured on a Recurring Basis
        December 29, 2013
    Level 1       Level 2       Level 3       Total
    (In thousands)
Short-term investments in available-for-sale securities   $        -     $       96,902     $       -     $       96,902  
Derivative assets - commodity futures instruments   $ 1,494     $ -     $ -     $ 1,494  
Derivative assets - commodity options instruments     -       1,395       -       1,395  
Derivative assets - foreign currency futures instruments     1,214       -       -       1,214  
Deferred compensation plan assets     7,208       -       -       7,208  
Derivative liabilities - commodity futures instruments     (1,728 )     -       -       (1,728 )
Long-term debt and other borrowing arrangements:                                
       Senior unsecured notes     552,592       -       -       552,592  
       Term notes     -       -       424,650       424,650  
       Capitalized lease obligations     -       -       704       704  
 
    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 )
Long-term debt and other borrowing arrangements:                                
       Senior unsecured notes     521,415       -       -       521,415  
       Term notes and revolver     -       -       686,435       686,435  
       Capitalized lease obligations     -       -       880       880  
 
    Term Notes and Revolver   Capitalized Lease Obligations
    2013   2012   2013   2012
Change in Value of Level 3 Liabilities:   (In thousands)
       Balance, beginning of period   $ 686,435     $ 945,927     $ 880     $ 1,005  
       Borrowings     509,500       1,332,300       -       -  
       Payments     (762,091 )     (1,591,498 )     (124 )     (114 )
       Change in fair value inputs     (9,194 )     (294 )     (52 )     (11 )
              Balance, end of period   $ 424,650     $ 686,435     $ 704     $ 880  

   

Schedule of Carrying Amounts and Estimated Fair Values of Financial Assets and Liabilities
      December 29, 2013   December 30, 2012        
    Carrying     Fair     Carrying     Fair   Note
    Amount   Value   Amount   Value   Reference
    (In thousands)
Short-term investments in available-for-sale securities   $    96,902     $    96,902     $    -     $    -       5
Derivative assets - commodity futures instruments     1,494       1,494       1,821       1,821       6
Derivative assets - commodity options instruments     1,395       1,395       -       -       6
Derivative assets - foreign currency futures instruments     1,214       1,214       -       -       6
Deferred compensation plan assets     7,208       7,208       7,591       7,591        
Derivative liabilities - commodity futures instruments     (1,728 )     (1,728 )     (1,530 )     (1,530 )     6
Long-term debt and other borrowing arrangements     (912,233 )     (977,946 )     (1,164,756 )     (1,208,730 )     10