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Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 25, 2016
Fair Value of Financial Instruments [Abstract]  
Fair Value Hierarchy
Fair Value Measurements Using
Significant
Quoted Prices in OtherSignificant
Active Markets forObservable Unobservable
FairIdentical AssetsInputsInputs
Value(Level 1)(Level 2)(Level 3)
December 25, 2016
Assets:
Available-for-sale securities$3,7363,736
Derivatives87,89487,894
Total assets$91,6303,73687,894
Liabilities:
Derivatives$11,30911,309
Option agreement28,77028,770
Total Liabilities$40,07911,30928,770
December 27, 2015
Assets:
Available-for-sale securities$3,4763,476
Derivatives107,634107,634
Total assets$111,1103,476107,634
Liabilities:
Derivatives$1,2401,240
Option agreement28,36028,360
Total liabilities$29,6001,24028,360
Reconciliation of Level 3 Fair Value
20162015
Balance at beginning of year$(28,360)(25,340)
Net losses from change in fair value(410)(3,020)
Balance at end of year$(28,770)(28,360)