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Debt (Tables)
6 Months Ended
Oct. 27, 2013
Debt Disclosure [Abstract]  
Schedule of Debt
The Company's long-term debt consists of the following:
 
Successor
Predecessor
 
October 27, 2013
April 28, 2013
 
(Unaudited)
 
 
(In thousands)
$2.95 billion Term B-1 Loan
$
2,928,804

$

$6.55 billion Term B-2 Loan
6,518,134


$3.10 billion 4.25% Second Lien Senior Secured Notes due 2020
3,100,000


Other U.S. Dollar Debt due May 2013 — November 2034 (0.94%—7.96%)
10,845

25,688

Other Non-U.S. Dollar Debt due May 2013 — May 2023 (3.50%—11.00%)
73,296

56,293

5.35% U.S. Dollar Notes due July 2013

499,993

8.0% Heinz Finance Preferred Stock due July 2013

350,000

Japanese Yen Credit Agreement due December 2013 (variable rate)

163,182

U.S. Dollar Private Placement Notes due May 2014 — May 2021 (2.11% - 4.23%)

500,000

Japanese Yen Credit Agreement due October 2015 (variable rate)

152,983

U.S. Dollar Private Placement Notes due July 2016 — July 2018 (2.86% - 3.55%)

100,000

2.00% U.S. Dollar Notes due September 2016
58,308

299,933

1.50% U.S. Dollar Notes due March 2017
17,742

299,648

U.S. Dollar Remarketable Securities due December 2020

119,000

3.125% U.S. Dollar Notes due September 2021
34,433

395,772

2.85% U.S. Dollar Notes due March 2022
5,599

299,565

$235 million 6.375% U.S. Dollar Debentures due July 2028
258,336

231,396

£125 million 6.25% British Pound Notes due February 2030
214,408

192,376

$437 million 6.75% U.S. Dollar Notes due March 2032
477,313

435,185

$931 million 7.125% U.S. Dollar Notes due August 2039
1,027,506

628,082

 
14,724,724

4,749,096

Hedge Accounting Adjustments (See Note 16)

122,455

Less portion due within one year
(106,353
)
(1,023,212
)
Total long-term debt
$
14,618,371

$
3,848,339

Weighted-average interest rate on long-term debt, including the impact of applicable interest rate swaps
4.01
%
4.07
%
Schedule of Maturities of Long-term Debt
Total long term debt matures as follows:
 
Fiscal Year
 
 
 
2014
 
2015
 
2016
 
2017
 
2018
 
There After
 
Total
 
(In thousands)
Maturity /Retirements
$
106,353

 
$
106,584

 
$
112,064

 
$
193,374

 
$
104,151

 
$
14,102,198

 
$
14,724,724