XML 74 R56.htm IDEA: XBRL DOCUMENT v3.8.0.1
Debt (Details)
6 Months Ended
May 15, 2019
Mar. 31, 2018
USD ($)
Sep. 30, 2017
USD ($)
Jul. 01, 2017
USD ($)
Jul. 02, 2016
USD ($)
May 31, 2016
USD ($)
Sep. 30, 2015
bank
Debt Instrument [Line Items]              
Senior Notes   $ 500,000,000 $ 500,000,000     $ 500,000,000  
Long-term Debt, Gross   648,125,000 718,125,000        
debt net of unamortized debt issuance cost   $ 642,837,000 $ 712,406,000        
Debt Instrument, Interest Rate, Stated Percentage   6.00% 6.00%     6.00%  
Voting interest in domestic subsidiaries pledged against credit facility   100.00%          
Voting interest in foreign subsidiaries pledged against credit facility   65.00%          
Leverage Ratio, Actual   2.14          
Debt Instrument, Covenant Compliance, Senior Debt Leverage Ratio, actual   0.52          
Fixed charge coverage ratio, actual   7.51          
Line of Credit [Member]              
Debt Instrument [Line Items]              
Long-term portion of long term debt   $ 148,125,000 $ 218,125,000        
Credit facility amount       $ 600,000,000      
Additional borrowing capacity on credit facility if agreed to by lenders         $ 500,000,000    
Line of Credit Facility, Interest Rate at Period End   3.25%          
Component of Base Rate, Basis Spread on Federal Reserve Bank of New York (FRBNY) rate   0.50%          
Component of Base Rate, Basis Spread on Adjusted LIBOR   1.00%          
Investment limit in foreign subsidiaries   $ 75,000,000          
Cash investment limit for acquisition of business   $ 200,000,000          
Debt Instrument, Covenant Compliance, Leverage Ratio Four   4.50          
Minimum fixed charge coverage ratio allowed under debt covenant   3.50          
Debt Instrument, Covenant Compliance, maximum Senior Debt Leverage Ratio after covenant modification trigger event   3.0          
Line of Credit [Member] | Minimum              
Debt Instrument [Line Items]              
Line of Credit Facility, Variable Interest Rate, Length of Time Between Updates   30 days          
Credit facility commitment fees percentage   0.175%          
Line of Credit [Member] | Maximum              
Debt Instrument [Line Items]              
Line of Credit Facility, Variable Interest Rate, Length of Time Between Updates   180 days          
Credit facility commitment fees percentage   0.30%          
Secured Debt [Member]              
Debt Instrument [Line Items]              
Debt Instrument, Number of Banks in Credit Facility | bank             16
London Interbank Offered Rate (LIBOR) [Member] | Line of Credit [Member] | Minimum              
Debt Instrument [Line Items]              
Debt Instrument, Basis Spread on Variable Rate   1.25%          
London Interbank Offered Rate (LIBOR) [Member] | Line of Credit [Member] | Maximum              
Debt Instrument [Line Items]              
Debt Instrument, Basis Spread on Variable Rate   1.75%          
Base Rate [Member] | Line of Credit [Member] | Minimum              
Debt Instrument [Line Items]              
Debt Instrument, Basis Spread on Variable Rate   0.25%          
Base Rate [Member] | Line of Credit [Member] | Maximum              
Debt Instrument [Line Items]              
Debt Instrument, Basis Spread on Variable Rate   0.75%          
Scenario, Forecast [Member]              
Debt Instrument [Line Items]              
Debt Instrument, Redemption Price, Percentage 101.00%            
Other Noncurrent Assets | Line of Credit [Member]              
Debt Instrument [Line Items]              
Unamortized Debt Issuance Expense   $ (1,500,000) (2,000,000)        
Senior Notes [Member]              
Debt Instrument [Line Items]              
Unamortized Debt Issuance Expense   (5,288,000) $ (5,719,000)        
Debt Instrument, Fair Value Disclosure   $ 526,300,000