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Note 7 Restructuring (Tables)
9 Months Ended
Jun. 29, 2013
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
 
2012 Restructuring Plan
 
Prior to 2012 Restructuring Plan
 
Total
 
(In thousands)
Accrual balance at September 29, 2012
$
10,301

 
$
4,691

 
$
14,992

Employee severance and benefits
2,130

 
335

 
2,465

Leases and facilities shutdown costs
6,030

 
8,333

 
14,363

Non-cash charges
2,261

 
1,174

 
3,435

Total restructuring charges
10,421

 
9,842

 
20,263

Cash paid for employee terminations
(10,421
)
 
(586
)
 
(11,007
)
Cash paid for leases and facilities shutdown costs
(6,034
)
 
(6,253
)
 
(12,287
)
Non-cash charges
(2,261
)
 
(1,174
)
 
(3,435
)
Total charges utilized / payments
(18,716
)
 
(8,013
)
 
(26,729
)
Accrual balance at June 29, 2013
$
2,006

 
$
6,520

 
$
8,526