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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jul. 01, 2012
Fair Value of Financial Instruments (Thousands of Dollars) [Abstract]  
Fair Value Hierarchy

   
Fair Value Measurements Using:
 
 
 
 
 
 
 
Fair
Value
Quoted
Prices in
Active
Markets
for
Identical
Assets
(Level 1)
 
 
 
Significant
Other
Observable
Inputs
(Level 2)
 
 
 
 
Significant
Unobservable
Inputs
(Level 3)
 
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--------
--------
--------
July 1, 2012
       
---------------------
       
Assets:
       
Available-for-sale securities
$ 19,871      
12           
19,859        
-      
Derivatives
33,045      
-           
29,719        
3,326      
 
--------     
-------          
---------        
-------      
Total assets
$ 52,916     
12           
49,578        
3,326      
 
=====     
====          
======        
====      
         
Liabilities:
       
Derivatives
$     765     
-           
765        
-      
 
=====     
====          
======        
====      
June 26, 2011
       
---------------------
       
Assets:
       
Available-for-sale securities
$ 20,144     
25          
20,119        
-      
Derivatives
26,156     
-          
19,687        
6,469      
 
--------     
-------          
---------        
-------      
Total assets
$ 46,300     
25          
39,806        
6,469      
 
=====     
====          
======        
====      
         
Liabilities:
       
Derivatives
$ 28,230     
-          
28,230       
-      
 
=====     
====          
======       
====      
December 25, 2011
       
---------------------
       
Assets:
       
Available-for-sale securities
$ 19,669     
12          
19,657       
-      
Derivatives
29,500     
-          
25,776       
3,724      
 
--------     
-------          
---------       
-------      
Total assets
$ 49,169     
12          
45,433       
3,724      
 
=====     
====          
======       
====      
         
Liabilities:
       
Derivatives
$  1,908     
-          
1,908       
-      
 
=====     
====          
======       
====      
Reconciliation of Level 3 Fair Value
2012
2011
 
-----------
-----------
Balance at beginning of year
$ 3,724     
9,155    
Loss from change in fair value
(398)   
(2,686)  
 
--------    
--------   
Balance at end of second quarter
$ 3,326    
6,469   
 
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