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Fair Value (Tables)
12 Months Ended
Apr. 28, 2013
Fair Value  
Schedule of changes in Level 3 assets and liabilities measured at fair value on a recurring basis

 

 

 
  Fiscal Year Ended  
Interest Rate Derivatives
  April 28,
2013
  April 29,
2012
 

Beginning balance

  $ (2,493 ) $ (5,004 )

Realized gain

    1,699     2,540  

Unrealized (loss) gain

        (29 )
           

Ending balance

  $ (794 ) $ (2,493 )
           
Schedule of estimated carrying amounts and fair values of other financial instruments

 

 

 
  April 28, 2013   April 29, 2012  
 
  Carrying
Amount
  Fair Value   Carrying
Amount
  Fair Value  

Financial assets:

                         

Cash and cash equivalents

  $ 68,469   $ 68,469   $ 94,461   $ 94,461  

Marketable securities

    25,520     25,520     24,943     24,943  

Accounts receivable

    11,077     11,077     6,941     6,941  

Restricted cash and investments

    11,417     11,417     12,551     12,551  

Notes receivable

    56     56     1,293     1,293  

Financial liabilities:

                         

Revolving line of credit

  $ 154,900   $ 151,802   $   $  

Variable rate term loans

            495,000     498,713  

7.75% Senior notes

    298,246     327,698     298,026     308,829  

5.875% Senior notes

    350,000     357,000              

8.875% Senior subordinated notes

    350,000     381,535              

7% Senior subordinated notes

            357,275     358,168  

Other long-term debt

    3,738     3,738     4,130     4,130  

Other long-term obligations

    22,514     22,514     16,556     16,556