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Note 12 - Long-term Debt (Tables)
12 Months Ended
Jun. 26, 2016
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
 
 
 
 
 
 
Weighted Average
 
 
Principal Amounts as of
 
 
 
Scheduled
Maturity Date
 
 
Interest Rate as of
June 26, 2016 (1)
 
 
June 26, 2016
 
 
June 28, 2015
 
ABL Revolver
 
March 2020
      2.5%     $ 6,200     $ 5,000  
ABL Term Loan
 
March 2020
      2.3%       90,250       82,125  
Capital lease obligations
  (2)       (3)       15,798       15,735  
Construction financing
  (4)       (4)       6,629        
Renewables’ term loan
 
August 2022
      3.7%       4,000        
Renewables’ promissory note
 
September 2020
      3.0%       135        
Term loan from unconsolidated affiliate
  (5)       (5)             1,250  
Total debt
                    123,012       104,110  
Current portion of Renewables’ promissory note
                    (25 )      
Current portion of capital lease obligations
                    (4,261 )     (3,385 )
Current portion of long-term debt
                    (9,500 )     (9,000 )
Total long-term debt
                  $ 109,226     $ 91,725  
Schedule of Maturities of Long-term Debt [Table Text Block]
 
 
Scheduled Maturities on a Fiscal Year Basis
 
 
 
2017
 
 
2018
 
 
2019
 
 
2020
 
 
2021
 
 
Thereafter
 
ABL Revolver
  $     $     $     $ 6,200     $     $  
ABL Term Loan
    9,500       9,500       9,500       61,750              
Renewables’ promissory note
    25       26       27       28       29        
Renewables’ term loan
                      1,111       1,333       1,556  
Capital lease obligations
    4,261       4,128       4,058       2,542       171       638  
Total
(1)
  $ 13,786     $ 13,654     $ 13,585     $ 71,631     $ 1,533     $ 2,194