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Note 12
9 Months Ended
Jun. 25, 2016
Notes to Financial Statements  
Business Combination Disclosure [Text Block]
Note 12
Changes to the components of accumulated other comprehensive loss are as follows:
  
   
Three Months Ended June 25, 2016
           
Nine Months Ended June 25, 2016
         
    (unaudited)             (unaudited)          
    (in thousands)             (in thousands)          
                                                 
           
Unrealized
                   
Unrealized
         
   
Foreign Currency
   
Holding Loss on
           
Foreign Currency
   
Holding Loss on
         
   
Translation
   
Marketable
           
Translation
   
Marketable
         
   
Adjustments
   
Securities
   
Total
   
Adjustments
   
Securities
   
Total
 
                                                 
Beginning Balance
  $ (10,701 )   $ (1,978 )   $ (12,679 )   $ (10,021 )   $ (876 )   $ (10,897 )
                                                 
Other comprehensive income (loss) before reclassifications
    (1,387 )     534       (853 )     (2,067 )     (812 )     (2,879 )
                                                 
Amounts reclassified from accumulated other comprehensive income
    -       106       106       -       350       350  
                                                 
Ending Balance
  $ (12,088 )   $ (1,338 )   $ (13,426 )   $ (12,088 )   $ (1,338 )   $ (13,426 )
 
 
 
  
   
Three Months Ended June 27, 2015
           
Nine Months Ended June 27, 2015
         
    (unaudited)             (unaudited)          
    (in thousands)             (in thousands)          
                                                 
           
Unrealized
                   
Unrealized
         
   
Foreign Currency
   
Holding Loss on
           
Foreign Currency
   
Holding Loss on
         
   
Translation
   
Marketable
           
Translation
   
Marketable
         
   
Adjustments
   
Securities
   
Total
   
Adjustments
   
Securities
   
Total
 
                                                 
Beginning Balance
  $ (7,501 )   $ (2,745 )   $ (10,246 )   $ (4,632 )   $ (1,356 )   $ (5,988 )
                                                 
Other comprehensive income (loss) before reclassifications
    (420 )     (728 )     (1,148 )     (3,289 )     (2,333 )     (5,622 )
                                                 
Amounts reclassified from accumulated other comprehensive income
    -       1,099       1,099       -       1,315       1,315  
                                                 
Ending Balance
  $ (7,921 )   $ (2,374 )   $ (10,295 )   $ (7,921 )   $ (2,374 )   $ (10,295 )