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Accumulated Other Comprehensive Loss
12 Months Ended
Apr. 26, 2014
Accumulated Other Comprehensive Loss [Abstract]  
Accumulated Other Comprehensive Loss
Note 17: Accumulated Other Comprehensive Loss

The activity in accumulated other comprehensive loss for the fiscal years ended April 26, 2014, and April 27, 2013, were as follows:
 
 (Amounts in thousands)
 
Unrealized
gain on
marketable
securities
  
Translation
adjustment
  
Change in
fair value
of cash
flow hedge
  
Net pension
amortization
and net
actuarial loss
  
Accumulated
other
comprehensive
loss
 
Balance at April 28, 2012
 
$
3,017
  
$
4,029
  
$
  
$
(38,327
)
 
$
(31,281
)
Changes before reclassifications
  
651
   
750
   
373
   
(7,645
)
  
(5,871
)
Amounts reclassified from accumulated other comprehensive loss
  
(3,170
)
  
   
   
3,140
   
(30
)
Tax effect
  
(24
)
  
   
(142
)
  
1,852
   
1,686
 
Other comprehensive income (loss) attributable to La-Z-Boy Incorporated
  
(2,543
)
  
750
   
231
   
(2,653
)
  
(4,215
)
Balance at April 27, 2013
  
474
   
4,779
   
231
   
(40,980
)
  
(35,496
)
Changes before reclassifications
  
1,308
   
(2,324
)
  
(780
)
  
6,286
   
4,490
 
Amounts reclassified from accumulated other comprehensive loss
  
(300
)
  
   
321
   
3,566
   
3,587
 
Tax effect
  
(384
)
  
   
175
   
(3,752
)
  
(3,961
)
Other comprehensive income (loss) attributable to La-Z-Boy Incorporated
  
624
   
(2,324
)
  
(284
)
  
6,100
   
4,116
 
Balance at April 26, 2014
 
$
1,098
  
$
2,455
  
$
(53
)
 
$
(34,880
)
 
$
(31,380
)

The unrealized gain on marketable securities was reclassified from accumulated other comprehensive loss to net income through other income (expense) in our consolidated statement of income, and the change in fair value of cash flow hedge and the net pension amortization were reclassified to net income through selling, general and administrative expense.

The components of non-controlling interest at April 26, 2014, and April 27, 2013, were as follows:
 
(Amounts in thousands)
 
4/26/2014
  
4/27/2013
 
Beginning balance
 
$
7,140
  
$
5,911
 
Net income
  
1,324
   
793
 
Other comprehensive (income) loss
  
(730
)
  
339
 
Change in non-controlling interest
  
98
   
97
 
Ending balance
 
$
7,832
  
$
7,140