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15. Schedule Of Fair Value Assets And Liabilities (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 04, 2012
Sep. 28, 2011
Equity Securities    
Fair value $ 245,691 $ 115,321
Other Assets    
Non-qualified Deferred Compensation Plan Investments 811 546
Cash equivalents 14,570 88,022
Investments held by consolidated affiliated partnerships 193 193
Total assets at fair value 284,262 222,672
Liabilities    
Interest rate swaps 356 439
Level 1
   
Other Assets    
Total assets at fair value 269,499 134,457
Level 2
   
Other Assets    
Cash equivalents 14,570 88,022
Total assets at fair value 14,570 88,022
Liabilities    
Interest rate swaps 356 439
Level 3
   
Other Assets    
Investments held by consolidated affiliated partnerships 193 193
Total assets at fair value 193 193
Resturant Retail | Level 1
   
Equity Securities    
Fair value 244,276 89,971
Equity Securities Held by Consolidated Affiliated Partnerships    
Fair value Securities Held by Consolidated Affiliated Partnerships 10,435 7,677
Others | Level 1
   
Equity Securities    
Fair value 1,415 25,350
Equity Securities Held by Consolidated Affiliated Partnerships    
Fair value Securities Held by Consolidated Affiliated Partnerships 12,562 10,913
Non Qualified Deferred Compensation Plan Investments | Level 1
   
Other Assets    
Non-qualified Deferred Compensation Plan Investments $ 811 $ 546