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Derivatives And Hedging Activities (Tables)
12 Months Ended
Apr. 27, 2012
Derivatives And Hedging Activities [Abstract]  
Schedule Of Notional Value Of Outstanding Foreign Currency Forward Contracts
     April 27,
2012
     April 29,
2011
 

Cash Flow Hedges

     

Euro

   $ 96.9       $ 104.0   

British Pound Sterling

     29.8         20.9   

Balance Sheet Contracts

     

Euro

     267.4         253.7   

British Pound Sterling

     86.4         70.8   

Australian Dollar

     54.3         34.4   

Canadian Dollar

     38.5         56.0   

Other

     68.5         52.6   
Schedule of Derivative Instruments Designated as Cash Flow Hedges
    Year ended April 27, 2012     Year Ended April 29, 2011     Year Ended April 30, 2010  

Derivatives in Cash Flow Hedging
Relationships

  Gain
Recognized in
AOCI
    Gain
Reclassified
from

AOCI into
Income
    Gain
Recognized
in AOCI
    Gain
Reclassified
from

AOCI into
Income
    Loss
Recognized
in AOCI
    Loss
Reclassified
from

AOCI into
Income
 

Foreign exchange forward purchase contracts

  $ 20.6      $ 18.9      $ 3.2      $ 6.1      $ (0.5   $ (1.7
Schedule of Derivative Instruments Not Designated as Cash Flow Hedges
     Year Ended  
     April 27, 2012      April 29, 2011     April 30, 2010  

Derivatives Not Designated as Hedging Instruments

   Gain (Loss) Recognized into Income  

Foreign exchange forward contracts

   $ 21.0       $ (20.6   $ 8.2