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CASH FLOW INFORMATION (Tables)
12 Months Ended
Dec. 29, 2013
CASH FLOW INFORMATION  
Schedule of cash paid for interest and income taxes

 

 
  Years Ended  
(in thousands)
  December 29,
2013
  December 30,
2012
  December 25,
2011
 

Interest paid (net of amount capitalized) (1)

  $ 127,257   $ 173,742   $ 152,543  

Income taxes paid (net of refunds)

    21,019     37,137     32,613  

  • (1)
    The fiscal year 2012 interest paid includes $30.0 million of interest accelerated as a result of the refinance of the 11.50% Notes as discussed in Note 5.
Summary of non-cash transactions

 

 
  Year Ended  
(in thousands)
  December 25,
2011
 

Financing obligation for contribution of real property to pension plan

  $ 49,710  

Reduction of pension obligation

    (49,710 )

Non-refundable deposits offset against carrying value of land

    (16,500 )

Increase in PP&E for land transferred from other assets

    116,000