XML 66 R27.htm IDEA: XBRL DOCUMENT v3.2.0.727
Fair Value Disclosures (Tables)
3 Months Ended
Jun. 27, 2015
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 June 30, 2015, and indicates the fair value hierarchy of the valuation techniques utilized by the Company to determine such fair value:
 
Level 1

Level 2

Level 3

Total

Assets at Fair Value
 
 
 
 
Defined benefit pension plan assets(1)
$
12,950

$
22,721

$

$
35,671

Foreign currency contracts
$

$
521

$

$
521

Total Assets at Fair Value
$
12,950

$
23,242

$

$
36,192

Liabilities at Fair Value
 
 
 
 
Foreign currency contracts
$

$
856

$

$
856

Interest-rate swap
$

$
106

$

$
106

Total Liabilities at Fair Value
$

$
962

$

$
962

 
 
 
 
 

(1) The fair value of pension plan assets is measured annually, thus this value is as of March 31, 2015.