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Note 5 Debt (Tables)
6 Months Ended
Mar. 28, 2015
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
 
As of
 
March 28,
2015
 
September 27,
2014
 
(In thousands)
Secured debt
$
40,000

 
$
40,000

Senior notes due 2019 ("2019 Notes")

 
100,000

Senior secured notes due 2019 ("Secured Notes")
375,000

 
375,000

Non-interest bearing notes payable
15,467

 
15,097

Fair value adjustment (1)

 
3,757

 Total long-term debt
$
430,467

 
$
533,854

Less: Current Portion
 
 
 
2019 Notes called for redemption in fourth quarter of 2014

 
100,000

Fair value adjustment related to remaining 2019 Notes

 
3,757

     Secured debt (refinanced in the first quarter of 2015)

 
40,000

     Current portion of non-interest bearing notes payable
3,416

 
3,416

Long-term debt
$
427,051

 
$
386,681



(1) Represents fair value hedge accounting balance related to interest rate swaps.