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Share-based Payment Arrangements (Tables)
6 Months Ended
Jun. 28, 2014
Amounts Recognized in Financial Statements with Respect to Plans

Amounts recognized in the financial statements with respect to these Plans are as follows (in thousands):

 

     Twenty Six Weeks Ended      Thirteen Weeks Ended  
     June 28,
2014
     June 29,
2013
     June 28,
2014
     June 29,
2013
 

Total cost of the Plans during the period

   $ 2,799       $ 2,992       $ 1,635       $ 1,374   

Amount of related income tax benefit recognized during the period

     1,277         979         663         282   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net cost of the Plans during the period

   $ 1,522       $ 2,013       $ 972       $ 1,092   
  

 

 

    

 

 

    

 

 

    

 

 

 
Weighted Average Assumptions for Option Grants

The fair value of each option grant on its grant date was calculated using the Black-Scholes option pricing model with the following weighted average assumptions for grants made in the 2014 and 2013 twenty-six-week periods:

 

     2014     2013  

Expected volatility

     26.0     32.0

Expected dividend yield

     0.43     0.41

Risk-free interest rate

     1.50     0.75

Expected lives (in years)

     4.0        4.0   
Summary of Information Regarding Stock Options

The following table summarizes information regarding the Company’s outstanding stock options under the Plans:

 

     Number of
Options
    Weighted Average
Exercise Price
per Share
     Weighted Average
Remaining
Contractual
Term (years)
     Aggregate Intrinsic
Value (000s)
 

Options outstanding at December 28, 2013

     1,454,816      $ 44.55         

Granted

     1,000      $ 58.06         

Exercised

     (349,193   $ 41.07         

Forfeited

     (65,800   $ 47.47         
  

 

 

         

Options outstanding at June 28, 2014

     1,040,823      $ 45.55         5.6       $ 18,707   
  

 

 

         

Options exercisable at June 28, 2014

     644,573      $ 43.33         4.5       $ 13,013   
  

 

 

         
Non-vested Restricted Stock
 
Schedule of Information on Non-Vested Restricted Stock

The following table summarizes information regarding the Company’s outstanding non-vested restricted stock under the Plans:

 

     Number of
Shares
    Weighted Average
Grant Date
Fair Value
 

Outstanding at December 28, 2013

     38,193      $ 46.75   

Granted

     7,124      $ 63.17   

Vested

     (9,696   $ 49.02   

Forfeited

     (2,768   $ 54.20   
  

 

 

   

Outstanding at June 28, 2014

     32,853      $ 49.01   
  

 

 

   
Restricted Stock Units (RSUs)
 
Schedule of Information on Restricted Stock Units

The following table summarizes information regarding the Company’s outstanding RSU awards under the Plans:

 

     Number of
Units
    Weighted Average
Grant Date
Fair Value
 

Outstanding at December 28, 2013

     308,007      $ 49.63   

Granted

     146,000      $ 53.11   

Vested

     (24,641   $ 51.47   

Forfeited

     (3,736   $ 49.53   
  

 

 

   

Outstanding at June 28, 2014

     425,630      $ 50.72