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Cash Flows Between Company and Variable Interest Entities (Detail) - USD ($)
$ in Thousands
6 Months Ended
Jun. 19, 2015
Jun. 20, 2014
Vacation Ownership Notes Receivable Securitizations    
Cash inflows (outflows):    
Net proceeds from vacation ownership notes receivable securitizations   $ 22,638
Principal receipts $ 86,675 85,863
Interest receipts 41,549 42,236
Reserve release 2,345 1,524
Total 130,569 152,261
Principal to investors (78,361) (89,979)
Voluntary repurchases of defaulted vacation ownership notes receivable (10,993) (13,999)
Voluntary clean-up call (54,020) (26,722)
Interest to investors (8,233) (10,797)
Total (151,607) (141,497)
Net Cash Flows (21,038) 10,764
Warehouse Credit Facility    
Cash inflows (outflows):    
Interest to investors (569) (758)
Funding of restricted cash (138)  
Total (707) (758)
Net Cash Flows $ (707) $ (758)