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Fair Value of Financial Instruments (Details 3) - 6 months ended Jul. 04, 2015 - Contingent consideration - Monte Carlo simulation
Total
Quantitative information for Level 3 fair value measurements liabilities  
Expected revenue volatility (as a percent) 20.00%
Low end of range  
Quantitative information for Level 3 fair value measurements liabilities  
Expected revenue growth rate (as a percent) 40.80%
Expected term 6 months
Estimated discount rate (as a percent) 0.22%
High end of range  
Quantitative information for Level 3 fair value measurements liabilities  
Expected revenue growth rate (as a percent) 71.90%
Expected term 3 years 6 months
Estimated discount rate (as a percent) 1.57%