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Debt (Tables)
3 Months Ended
Mar. 29, 2014
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments [Text Block]
Long-term debt consists of the following:

 
 
March 29,
2014
 
December 31,
2013
Asset securitization program
 
$
335,000

 
$
420,000

3.375% notes, due 2015
 
254,321

 
255,004

6.875% senior debentures, due 2018
 
199,131

 
199,078

3.00% notes, due 2018
 
298,765

 
298,691

6.00% notes, due 2020
 
299,947

 
299,945

5.125% notes, due 2021
 
249,455

 
249,435

4.50% notes, due 2023
 
297,815

 
297,767

7.50% senior debentures, due 2027
 
198,205

 
198,170

Other obligations with various interest rates and due dates
 
10,348

 
8,042

 
 
$
2,142,987

 
$
2,226,132

Schedule of Fair Value of Debt [Text Block]
The estimated fair market value, using quoted market prices, is as follows:

 
 
March 29,
2014
 
December 31,
2013
3.375% notes, due 2015
 
$
255,000

 
$
260,000

6.875% senior debentures, due 2018
 
224,000

 
228,000

3.00% notes, due 2018
 
297,000

 
300,000

6.00% notes, due 2020
 
330,000

 
330,000

5.125% notes, due 2021
 
262,500

 
260,000

4.50% notes, due 2023
 
306,000

 
291,000

7.50% senior debentures, due 2027
 
238,000

 
232,000