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Other Comprehensive Income (Loss) (Schedule Of Changes In Each Component Of Accumulated Other Comprehensive Income (Loss)) (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Apr. 02, 2016
Mar. 28, 2015
Apr. 02, 2016
Mar. 28, 2015
Other Comprehensive Income (Loss) [Abstract]        
Foreign Currency Translation Adjustments, Beginning balance $ (1,413) $ 7,408 $ 1,005 $ 12,220
Foreign Currency Translation Adjustments, Other comprehensive net gain (loss) reclassifications $ 3,286 $ (6,338) $ 868 $ (11,150)
Foreign Currency Translation Adjustments, Net (gain) loss reclassified to earnings
Foreign Currency Translation Adjustments, Other comprehensive income (loss) $ 3,286 $ (6,338) $ 868 $ (11,150)
Foreign Currency Translation Adjustments, Ending balance 1,873 1,070 1,873 1,070
Unrealized Unrealized Derivative Instrument Adjustments, Beginning balance 426 1,260 386 898
Unrealized Derivative Instrument Adjustments, Other comprehensive net gain (loss) reclassifications (724) 553 (589) 1,997
Unrealized Derivative Instrument Adjustments, Net (gain) loss reclassified to earnings 84 (697) (11) (1,779)
Unrealized Derivative Instrument Adjustments, Other comprehensive income (loss) (640) (144) (600) 218
Unrealized Gain (Loss) on Derivative Instruments, Ending balance (214) 1,116 (214) 1,116
Defined Benefit Pension Plan Adjustments, Beginning balance (6,594) (6,495) (6,968) (7,294)
Defined Benefit Pension Plan Adjustments, Other comprehensive net gain (loss) reclassifications (515) 1,541 (242) 2,245
Defined Benefit Pension Plan Adjustments, Net (gain) loss reclassified to earnings 101 86 202 181
Defined Benefit Pension Plan Adjustments, Other comprehensive income (loss) (414) 1,627 (40) 2,426
Defined Benefit Pension Plan Adjustments, Ending balance (7,008) (4,868) (7,008) (4,868)
Total, Beginning balance (7,581) 2,173 (5,577) 5,824
Other comprehensive net gain (loss) reclassifications, Total 2,047 (4,244) 37 (6,908)
Net (gain) loss reclassified to earnings, Total 185 (611) 191 (1,598)
Other comprehensive income (loss) 2,232 (4,855) 228 (8,506)
Total, Ending balance $ (5,349) $ (2,682) $ (5,349) $ (2,682)