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Share-based Payment Arrangements (Tables)
9 Months Ended
Sep. 26, 2015
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):

 

     Thirty Nine Weeks Ended      Thirteen Weeks Ended  
     September 26,
2015
     September 27,
2014
     September 26,
2015
     September 27,
2014
 

Total cost of the Plans during the period

   $ 4,939       $ 4,218       $ 1,696       $ 1,419   

Amount of related income tax benefit recognized during the period

     (1,721      (2,230      (451      (953
  

 

 

    

 

 

    

 

 

    

 

 

 

Net cost of the Plans during the period

   $ 3,218       $ 1,988       $ 1,245       $ 466   
  

 

 

    

 

 

    

 

 

    

 

 

 
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 27, 2014

    773,839      $ 46.92       

Exercised

    (111,105   $ 45.60       

Forfeited

    (1,900   $ 53.17       
 

 

 

       

Options outstanding at September 26, 2015

    660,834      $ 47.13        5.1      $ 13,385   
 

 

 

       

Options exercisable at September 26, 2015

    436,434      $ 45.01        4.5      $ 9,762   
 

 

 

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

The following table summarizes information regarding the Company’s outstanding restricted stock unit (“RSU”) awards under the Plans:

 

     Number of
RSUs
     Weighted Average
Grant Date
Fair Value
 

Outstanding at December 27, 2014

     425,630       $ 50.72   

Granted

     111,791       $ 53.31   

Vested

     (91,382    $ 51.98   

Forfeited

     (2,013    $ 52.81   
  

 

 

    

Outstanding at September 26, 2015

     444,026       $ 51.10   
  

 

 

    
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 27, 2014

     23,353       $ 54.90   

Granted

     1,197       $ 62.46   

Vested

     (6,490    $ 57.79   
  

 

 

    

Outstanding at September 26, 2015

     18,060       $ 54.36