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FAIR VALUE OF FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS - Fair Value by Level (Details)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 29, 2019
USD ($)
Apr. 29, 2018
USD ($)
Jun. 29, 2019
USD ($)
Apr. 29, 2018
USD ($)
May 31, 2019
USD ($)
instrument
Oct. 28, 2018
USD ($)
Assets:            
Fair value of assets on a recurring basis $ 3,709   $ 3,709     $ 5,285
Liabilities:            
Fair vale of liabilities 33,468   33,468     4,639
Short-term investments, unrealized holding gain (loss) 100 $ (200) 400 $ 100    
Level 1            
Assets:            
Fair value of assets on a recurring basis 3,320   3,320     4,344
Liabilities:            
Fair vale of liabilities 0   0     0
Level 2            
Assets:            
Fair value of assets on a recurring basis 389   389     941
Liabilities:            
Fair vale of liabilities 33,468   33,468     4,639
Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Liabilities:            
Fair vale of liabilities 0   0     0
Deferred compensation plan liability            
Liabilities:            
Fair vale of liabilities 3,618   3,618     4,639
Deferred compensation plan liability | Level 1            
Liabilities:            
Fair vale of liabilities 0   0     0
Deferred compensation plan liability | Level 2            
Liabilities:            
Fair vale of liabilities 3,618   3,618     4,639
Deferred compensation plan liability | Level 3            
Liabilities:            
Fair vale of liabilities 0   0     0
Interest Rate Swap            
Liabilities:            
Fair vale of liabilities 29,850   29,850      
Interest Rate Swap | Level 1            
Liabilities:            
Fair vale of liabilities 0   0      
Interest Rate Swap | Level 2            
Liabilities:            
Fair vale of liabilities 29,850   29,850      
Interest Rate Swap | Level 3            
Liabilities:            
Fair vale of liabilities 0   0      
Total short-term investments in deferred compensation plan            
Assets:            
Fair value of assets on a recurring basis 3,709   3,709     5,285
Total short-term investments in deferred compensation plan | Level 1            
Assets:            
Fair value of assets on a recurring basis 3,320   3,320     4,344
Total short-term investments in deferred compensation plan | Level 2            
Assets:            
Fair value of assets on a recurring basis 389   389     941
Total short-term investments in deferred compensation plan | Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Money market            
Assets:            
Fair value of assets on a recurring basis 120   120     369
Money market | Level 1            
Assets:            
Fair value of assets on a recurring basis 120   120     369
Money market | Level 2            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Money market | Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Growth            
Assets:            
Fair value of assets on a recurring basis 1,057   1,057     1,118
Mutual funds – Growth | Level 1            
Assets:            
Fair value of assets on a recurring basis 1,057   1,057     1,118
Mutual funds – Growth | Level 2            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Growth | Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Blend            
Assets:            
Fair value of assets on a recurring basis 1,606   1,606     2,045
Mutual funds – Blend | Level 1            
Assets:            
Fair value of assets on a recurring basis 1,606   1,606     2,045
Mutual funds – Blend | Level 2            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Blend | Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Foreign blend            
Assets:            
Fair value of assets on a recurring basis 537   537     812
Mutual funds – Foreign blend | Level 1            
Assets:            
Fair value of assets on a recurring basis 537   537     812
Mutual funds – Foreign blend | Level 2            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Foreign blend | Level 3            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Fixed income            
Assets:            
Fair value of assets on a recurring basis 389   389     941
Mutual funds – Fixed income | Level 1            
Assets:            
Fair value of assets on a recurring basis 0   0     0
Mutual funds – Fixed income | Level 2            
Assets:            
Fair value of assets on a recurring basis 389   389     941
Mutual funds – Fixed income | Level 3            
Assets:            
Fair value of assets on a recurring basis $ 0   $ 0     $ 0
Designated as Hedging Instrument | Interest Rate Swap            
Liabilities:            
Notional amount of derivative liabilities         $ 1,500,000  
Cash Flow Hedging | Designated as Hedging Instrument | Interest Rate Swap            
Liabilities:            
Number of interest rate swaps | instrument         3  
Cash Flow Hedging | Designated as Hedging Instrument | Interest Rate Swap One            
Liabilities:            
Derivative, fixed interest rate         5.918%  
Notional amount of derivative liabilities         $ 500,000  
Cash Flow Hedging | Designated as Hedging Instrument | Interest Rate Swap Two            
Liabilities:            
Derivative, fixed interest rate         5.906%  
Notional amount of derivative liabilities         $ 500,000  
Cash Flow Hedging | Designated as Hedging Instrument | Interest Rate Swap Three            
Liabilities:            
Derivative, fixed interest rate         5.907%  
Notional amount of derivative liabilities         $ 500,000