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NOTES PAYABLE (Details) (USD $)
0 Months Ended
May 31, 2012
quarter
option
Aug. 02, 2014
Notes payable    
Letter of credit commitments   $ 33,600,000
Amended and restated revolving credit facility
   
Notes payable    
Maximum borrowing base 600,000,000  
Options granted to Company to increase borrowing base 1  
Additional increase in borrowing base 150,000,000  
Real estate term backed loan 200,000,000  
Borrowing base, based on eligible accounts receivable and inventory levels   587,400,000
Amount outstanding   415,700,000
Letter of credit commitments   33,600,000
Reserves   2,800,000
Remaining availability of credit facility   135,300,000
Minimum fixed charge coverage ratio, numerator 1  
Minimum fixed charge coverage ratio, denominator 1.0  
Number of quarters used to calculate fixed charge coverage ratio 4  
Percentage of maximum aggregate availability of the aggregate borrowing base (as a percent) 10.00%  
Amended and restated revolving credit facility | Minimum
   
Notes payable    
Line of Credit Facility, Maximum Aggregate Availability of the Aggregate Borrowing Base   35,000,000.0
Amended and restated revolving credit facility | Maximum
   
Notes payable    
Line of Credit Facility, Maximum Aggregate Availability of the Aggregate Borrowing Base   50,000,000.0
Amended and restated revolving credit facility | U.S. Borrowers
   
Notes payable    
Maximum borrowing base 550,000,000.0  
Amended and restated revolving credit facility | UNFI Canada
   
Notes payable    
Maximum borrowing base $ 50,000,000.0  
Amended and restated revolving credit facility | UNFI Canada | Minimum
   
Notes payable    
Annual commitment fee, percentage (as a percent) 0.25%  
Average daily balance of amounts actually used for annual commitments fee, percentage (as a percent) 40.00%  
Amended and restated revolving credit facility | UNFI Canada | Maximum
   
Notes payable    
Annual commitment fee, percentage (as a percent) 0.30%  
Average daily balance of amounts actually used for annual commitments fee, percentage (as a percent) 40.00%  
Amended and restated revolving credit facility | Federal funds effective rate | U.S. Borrowers
   
Notes payable    
Reference rate federal funds effective rate  
Spread on reference rate (as a percent) 0.50%  
Amended and restated revolving credit facility | One-month LIBOR | U.S. Borrowers
   
Notes payable    
Reference rate one-month London Interbank Offering Rate ("LIBOR")  
Spread on reference rate (as a percent) 1.00%  
Initial applicable margin 0.50%  
Amended and restated revolving credit facility | LIBOR | U.S. Borrowers
   
Notes payable    
Reference rate LIBOR for one, two, three or six months  
Amended and restated revolving credit facility | Nine month LIBOR | U.S. Borrowers
   
Notes payable    
Reference rate nine months LIBOR  
Initial applicable margin 1.50%  
Amended and restated revolving credit facility | Reuters Canadian Deposit Offering Rate | UNFI Canada
   
Notes payable    
Reference rate 30-day Reuters Canadian Deposit Offering Rate  
Spread on reference rate (as a percent) 0.50%  
Amended and restated revolving credit facility | Prime rate of Bank of America N.A.'s Canada branch | UNFI Canada
   
Notes payable    
Reference rate Bankers' acceptance equivalent rate for a one month interest period  
Spread on reference rate (as a percent) 1.00%  
Initial applicable margin 0.50%  
Amended and restated revolving credit facility | Annual rates applicable to Canadian Dollar bankers' acceptances | UNFI Canada
   
Notes payable    
Reference rate annual rates applicable to CanadianDollar bankers' acceptances  
Spread on reference rate (as a percent) 0.05%  
Initial applicable margin 1.50%