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Fair Value (Tables)
3 Months Ended
Mar. 29, 2014
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets And Liabilities at Fair Value
The following table sets forth the Company’s financial assets and liabilities that were accounted for at fair value on a recurring basis as of March 29, 2014 and December 28, 2013 (in millions):
 
 
March 29,
2014
 
December 28,
2013
 
Classification
Assets:
 
 
 
 
 
Prepaid Expenses and Other Current Assets:
 
 
 
 
 
Derivative Currency Contracts
$
5.3

 
$
8.4

 
Level 2
Derivative Commodity Contracts
1.4

 
4.7

 
Level 2
Investments
1.1

 
7.6

 
Level 2
Other Noncurrent Assets:
 
 
 
 
 
Assets Held in Rabbi Trust
5.1

 
5.1

 
Level 1
Derivative Currency Contracts
1.3

 
0.7

 
Level 2
Derivative Commodity Contracts
0.1

 

 
Level 2
Liabilities:
 
 
 
 
 
Other Accrued Expenses:
 
 
 
 
 
Deferred Contingent Purchase Price
8.3

 
8.3

 
Level 3
Hedging Obligations (current):
 
 
 
 
 
Interest Rate Swap
3.8

 
5.7

 
Level 2
Derivative Currency Contracts
2.9

 
3.1

 
Level 2
Derivative Commodity Contracts
9.5

 
2.5

 
Level 2
Hedging Obligations:
 
 
 
 
 
Interest Rate Swap
15.0

 
16.1

 
Level 2
Derivative Currency Contracts
1.1

 
0.7

 
Level 2
Derivative Commodity Contracts
0.2

 

 
Level 2
Other Noncurrent Liabilities:
 
 
 
 
 
Deferred Contingent Purchase Price
1.5

 
1.4

 
Level 3
Summary of Changes In Fair Market Value of Company's Level 3 Liabilities
The table below sets forth a summary of changes in fair market value of the Company’s Level 3 liabilities for the three months ended March 29, 2014 and March 30, 2013 (in millions):
 
Three Months Ended
 
March 29,
2014
 
March 30,
2013
Beginning Balance
$
9.7

 
$
21.1

Valuation Adjustments
0.4

 
0.3

Payments
(0.3
)
 

Ending Balance
$
9.8

 
$
21.4