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Debt (Tables)
3 Months Ended
Dec. 29, 2013
Dec. 30, 2012
New Pulitzer Notes [Member]
   
Schedule of Payments [Line Items]    
Schedule Of Debt Payments [Table Text Block]
2014 payments made, or required to be made for the remainder of the year, under the New Pulitzer Notes are summarized below.
 
13 Weeks Ended

 
13 Weeks Ending
 
(Thousands of Dollars)
December 29
2013

March 30
2014

June 29
2014

September 28
2014

 
 
 
 
 
Mandatory
6,400




Voluntary
1,600




Asset sales




Excess cash flow




 
8,000




2013 payments made under the New Pulitzer Notes or Pulitzer Notes are summarized as follows:
 
 
 
13 Weeks Ended

(Thousands of Dollars)
December 30
2012

March 31
2013

June 30
2013

September 29
2013

 
 
 
 
 
Mandatory
3,800

2,600



Voluntary

1,500

14,000

17,000

Asset sales
5,200

1,900



Excess cash flow




 
9,000

6,000

14,000

17,000

 
1st Lien Agreement [Member]
   
Schedule of Payments [Line Items]    
Schedule Of Debt Payments [Table Text Block]

2014 payments made, or required to be made for the remainder of the year, under the 1st Lien Agreement, are summarized as follows:
 
13 Weeks Ended

13 Weeks Ending
 
(Thousands of Dollars)
December 29
2013

March 30
2014

June 29
2014

September 28
2014

 
 
 
 
 
Mandatory
3,000

3,000

3,375

3,375

Voluntary
3,350




Asset sales
150




Excess cash flow




 
6,500

3,000

3,375

3,375

2013 payments made under the 1st Lien Agreement are summarized as follows:
 
 
 
13 Weeks Ended

(Thousands of Dollars)
December 30
2012

March 31
2013

June 30
2013

September 29
2013

 
 
 
 
 
Mandatory
2,500

2,500

3,000

3,000

Voluntary
9,750

15,350

2,260

6,000

Asset sales
7,750


240


Excess cash flow




 
20,000

17,850

5,500

9,000