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Fair Values of Financial Instruments - Deferred Compensation Plan, Commodity Derivative Instruments, Debt and Acquisition Related Contingent Consideration (Detail) - USD ($)
$ in Thousands
Sep. 27, 2020
Jun. 28, 2020
Dec. 29, 2019
Sep. 29, 2019
Jun. 30, 2019
Dec. 30, 2018
Commodity derivative instruments            
Assets:            
Commodity derivative instruments $ 1,049   $ 1,007      
Liabilities:            
Commodity derivative instruments 1,376   1,174      
Fair Value Level 3            
Liabilities:            
Acquisition related contingent consideration 448,653 $ 441,113 446,684 $ 425,191 $ 412,450 $ 382,898
Carrying Amount            
Assets:            
Deferred compensation plan assets 46,602   42,543      
Liabilities:            
Deferred compensation plan liabilities 46,602   42,543      
Nonpublic variable rate debt 239,882   307,250      
Nonpublic fixed rate debt 374,747   374,723      
Public debt securities 348,238   347,947      
Acquisition related contingent consideration 448,653   446,684      
Carrying Amount | Commodity derivative instruments            
Assets:            
Commodity derivative instruments 1,049   1,007      
Liabilities:            
Commodity derivative instruments 1,376   1,174      
Total Fair Value            
Assets:            
Deferred compensation plan assets 46,602   42,543      
Liabilities:            
Deferred compensation plan liabilities 46,602   42,543      
Nonpublic variable rate debt 240,000   307,500      
Nonpublic fixed rate debt 402,500   383,900      
Public debt securities 390,200   367,300      
Acquisition related contingent consideration 448,653   446,684      
Total Fair Value | Commodity derivative instruments            
Assets:            
Commodity derivative instruments 1,049   1,007      
Liabilities:            
Commodity derivative instruments 1,376   1,174      
Total Fair Value | Fair Value Level 1            
Assets:            
Deferred compensation plan assets 46,602   42,543      
Liabilities:            
Deferred compensation plan liabilities 46,602   42,543      
Nonpublic variable rate debt 0   0      
Nonpublic fixed rate debt 0   0      
Public debt securities 0   0      
Acquisition related contingent consideration 0   0      
Total Fair Value | Fair Value Level 1 | Commodity derivative instruments            
Assets:            
Commodity derivative instruments 0   0      
Liabilities:            
Commodity derivative instruments 0   0      
Total Fair Value | Fair Value Level 2            
Assets:            
Deferred compensation plan assets 0   0      
Liabilities:            
Deferred compensation plan liabilities 0   0      
Nonpublic variable rate debt 240,000   307,500      
Nonpublic fixed rate debt 402,500   383,900      
Public debt securities 390,200   367,300      
Acquisition related contingent consideration 0   0      
Total Fair Value | Fair Value Level 2 | Commodity derivative instruments            
Assets:            
Commodity derivative instruments 1,049   1,007      
Liabilities:            
Commodity derivative instruments 1,376   1,174      
Total Fair Value | Fair Value Level 3            
Assets:            
Deferred compensation plan assets 0   0      
Liabilities:            
Deferred compensation plan liabilities 0   0      
Nonpublic variable rate debt 0   0      
Nonpublic fixed rate debt 0   0      
Public debt securities 0   0      
Acquisition related contingent consideration 448,653   446,684      
Total Fair Value | Fair Value Level 3 | Commodity derivative instruments            
Assets:            
Commodity derivative instruments 0   0      
Liabilities:            
Commodity derivative instruments $ 0   $ 0