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Stockholders' Equity (Details 1) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
May. 29, 2015
May. 30, 2014
May. 29, 2015
May. 30, 2014
Gross unrealized gains, available-for-sale securities [Abstract]        
Beginning balance, unrealized gains on available-for-sale securities     $ 8,237  
Gross unrealized gains on available for sale securities, increase or decrease     509  
Gross unrealized gains on available for sale securities, reclassification adjustments     (1,684)  
Ending balance, unrealized gains on available-for-sale securities $ 7,062   7,062  
Gross unrealized losses, available-for-sale securities [Abstract]        
Beginning balance, unrealized losses on available-for-sale securities     (609)  
Gross unrealized losses on available for sale securities increase or decrease     (450)  
Gross unrealized losses on available for sale securities, reclassification adjustments     124  
Ending balance, unrealized losses on available-for-sale securities (935)   (935)  
Net unrealized gains on available-for-sale securities [Abstract]        
Beginning Balance, net unrealized gains on available-for-sale securities     7,628  
Net unrealized gains on available for sale securities, increase or decrease 876 $ 1,977 59 $ 3,488
Net unrealized gains on available for sale securities, reclassification adjustments (633) (1,251) (1,560) [1] (1,888)
Ending Balance, net unrealized gains on available-for-sale securities 6,127   6,127  
Net unrealized gains on derivatives designated as hedging instuments [Abstract]        
Beginning balance, net unrealized gains on derivative instruments designated as hedging instruments     28,655  
Net unrealized gains on derivative instruments designated as hedging instruments, increase or decrease 8,144 2,001 20,354 1,971
Net unrealized gains on derivative instruments designated as hedging instruments, reclassification adjustments (21,953) (2,616) (45,580) [2] (5,414)
Ending balance, net unrealized gains on derivative instruments designated as hedging instruments 3,429   3,429  
Cumulative foreign currency translation adjustments [Abstract]        
Beginning balance, cumulative foreign currency translation adjustments     (44,377)  
Cumulative foreign currency translation adjustment, increase or decrease (12,096) $ (10,060) (94,652) $ 2,382
Cumulative foreign currency translation adjustment, reclassification adjustments     0  
Ending balance, cumulative foreign currency translation adjustments (139,029)   (139,029)  
Accumulated other comprehensive income totals [Abstract]        
Beginning balance, total accumulated other comprehensive income, net of taxes [3]     (8,094)  
Accumulated other comprehensive income, increase or decrease     (74,239)  
Accumulated other comprehensive income, reclassification adjustments     (47,140)  
Ending balance, total accumulated other comprehensive income, net of taxes $ (129,473)   $ (129,473)  
[1] Reclassification adjustments for gains / losses on available-for-sale securities are classified in interest and other income (expense), net.
[2] Reclassification adjustments for loss on the interest rate lock agreement and gains / losses on other derivative instruments are classified in interest and other income (expense), net and revenue, respectively.
[3] The Condensed Consolidated Balance Sheet as of November 28, 2014 has been derived from the audited Consolidated Financial Statements at that date but does not include all of the information and footnotes required by generally accepted accounting principles for complete financial statements.