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Note 17 - Fair Value of Financial Instruments and Non-Financial Assets and Liabilities (Tables)
3 Months Ended
Sep. 28, 2014
Fair Value Disclosures [Abstract]  
Schedule of Business Acquisitions by Acquisition, Contingent Consideration [Table Text Block]

Contingent consideration as of June 29, 2014

  $ 2,563  

Change in fair value

    75  

Payment

    (289 )

Contingent consideration as of September 28, 2014

  $ 2,349  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]

As of September 28, 2014

  Notional Amount    

USD

Equivalent

 

Balance Sheet Location

 

Fair Value Hierarchy

 

Fair

Value

 
Foreign currency contracts   EUR           Other current assets   Level 2      

Interest rate swap

 

USD

 $ 60,000     $ 60,000  

Other long-term liabilities

 

Level 2

  $ 105  

Contingent consideration

               

Accrued expenses and other long-term liabilities

 

Level 3

  $ 2,349  

As of June 29, 2014

 

Notional Amount

   

USD

Equivalent

 

Balance Sheet Location

 

Fair Value Hierarchy

 

Fair

Value

 

Foreign currency contracts

 

EUR

  495     $ 668  

Other current assets

 

Level 2

  $ 7  

Interest rate swap

 

USD

 $ 65,000     $ 65,000  

Other long-term liabilities

 

Level 2

  $ 363  

Contingent consideration

               

Accrued expenses and other long-term liabilities

 

Level 3

  $ 2,563  
Derivative Instruments, Gain (Loss) [Table Text Block]
       

For the Three Months Ended

 

Derivatives not designated as hedges

 

Classification

 

September 28, 2014

   

September 29, 2013

 

Foreign exchange contracts

 

Other operating expense, net

  $ 7     $ (6 )

Interest rate swap

 

Interest expense

    (258 )     140  

Total (gain) loss recognized in income

  $ (251 )   $ 134