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Unaudited Condensed Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
9 Months Ended 12 Months Ended
Sep. 29, 2013
Sep. 30, 2012
Sep. 29, 2013
Sep. 30, 2012
CASH FLOWS FROM (FOR) OPERATING ACTIVITIES        
Net income $ 128,688 $ 112,181 $ 118,363 $ 105,903
Adjustments to reconcile net income to net cash from operating activities:        
Depreciation and amortization 108,313 112,211 122,408 127,191
Loss on early debt extinguishment 34,573 0 34,573 0
Loss on impairment / retirement of fixed assets, net 2,266 24,230 8,372 34,509
Gain on sale of other assets (8,743) 0 (15,368) 0
Net effect of swaps 8,315 (1,318) 8,141 (10,930)
Non-cash (income) expense 23,875 (3,006) 32,245 (608)
Net change in working capital 16,031 23,243 (6,769) 7,940
Net change in other assets/liabilities 3,637 9,203 22,883 8,549
Net cash from operating activities 316,955 276,744 324,848 272,554
CASH FLOWS FROM (FOR) INVESTING ACTIVITIES        
Sale of other assets 15,297 1,173 30,182 1,173
Capital expenditures (97,534) (75,810) (116,761) (93,120)
Net cash for investing activities (82,237) (74,637) (86,579) (91,947)
CASH FLOWS FROM (FOR) FINANCING ACTIVITIES        
Term debt borrowings 630,000 0 630,000 0
Note borrowings 500,000 0 500,000 0
Derivative settlement 0 (50,450) 0 (50,450)
Term debt payments, including early termination penalties (1,132,675) (25,000) (1,132,675) (25,000)
Distributions paid to partners (104,458) (66,565) (126,706) (105,308)
Exercise of limited partnership unit options 43 47 43 53
Payment of debt issuance costs (22,812) 0 (22,812) (723)
Excess tax benefit from unit-based compensation (148) (454) 1,515 (454)
Net cash for financing activities (130,050) (142,422) (150,635) (181,882)
EFFECT OF EXCHANGE RATE CHANGES ON CASH AND CASH EQUIVALENTS (16) 893 (254) 1,065
CASH AND CASH EQUIVALENTS        
Net increase (decrease) for the period 104,652 60,578 87,380 (210)
Balance, beginning of period 78,830 35,524 96,102 96,312
Balance, end of period 183,482 96,102 183,482 96,102
SUPPLEMENTAL INFORMATION        
Cash payments for interest expense 78,852 86,018 94,717 114,470
Interest capitalized 1,175 1,984 1,406 2,951
Cash payments for income taxes, net of refunds $ 11,746 $ 8,761 $ 4,768 $ 8,876