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Note 15 Plan Assets (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Sep. 28, 2013
Sep. 29, 2012
Oct. 01, 2011
U.S.
     
Over (under) Funded Status [Abstract]      
Over (under) Funded Status $ (5,935) $ (9,158) $ (8,076)
U.S. | Plan Asset
     
Change in Fair Value of Plan Assets [Roll Forward]      
Beginning fair value 20,443 18,809 19,216
Actual return 1,964 2,466 892
Employer contributions 0 1,600 824
Benefits paid (674) (2,432) (2,123)
Settlements (966)    
Ending fair value 20,767 20,443 18,809
U.S. | Plan Asset | Cash
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 0.00%    
Actual 1.70% 0.00%  
U.S. | Level 1 | Plan Asset | Equity securities
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 51.00%    
Actual 52.00% 52.60%  
U.S. | Level 1 | Plan Asset | Debt securities
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 49.00%    
Actual 46.30% 47.40%  
Non-U.S.
     
Over (under) Funded Status [Abstract]      
Over (under) Funded Status (16,335) (10,318) 691
Non-U.S. | Plan Asset
     
Change in Fair Value of Plan Assets [Roll Forward]      
Beginning fair value 24,853 26,087 26,771
Actual return 1,239 1,144 1,249
Employer contributions 589 295 294
Benefits paid (1,083) (722) (723)
Actuarial gain (loss) 1,397 (463) (1,533)
Foreign currency exchange rate differences 1,260 (1,488) 29
Ending fair value $ 28,255 $ 24,853 $ 26,087
Non-U.S. | Plan Asset | Cash
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 0.00%    
Actual 5.00% 1.40%  
Non-U.S. | Level 1 | Plan Asset | Equity securities
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 20.00%    
Actual 25.20% 25.20%  
Non-U.S. | Level 1 | Plan Asset | Debt securities
     
Weighted Average Asset Allocations by Asset Category [Abstract]      
Target 80.00%    
Actual 69.80% 73.40%