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Fair Value Disclosures (Tables)
6 Months Ended
Sep. 27, 2014
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following table presents information about the Company’s assets and liabilities measured at fair value on a recurring basis as of September 30, 2014, and indicates the fair value hierarchy of the valuation techniques utilized by the Company to determine such fair value:
 
Assets at Fair Value as of 1
 
September 30, 2014
 
Level 1

Level 2

Level 3

Total

Foreign currency contracts
$

$
351

$

$
351

1 Pension plan assets, not included in the table above, are measured annually using level 1 (mutual funds) and level 2 (common collective trust) inputs.
 
Liabilities at Fair Value as of
 
September 30, 2014
 
Level 1

Level 2

Level 3

Total

Foreign currency contracts
$

$
2,357

$

$
2,357

Interest-rate swaps

1,001


1,001

Total
$

$
3,358

$

$
3,358