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Fair Value Measurement (Tables)
6 Months Ended
Feb. 16, 2014
Fair Value Disclosures [Abstract]  
Fair Value of Financial Assets and Liabilities Measured on Recurring Basis
The tables below present information regarding the Company’s financial assets and financial liabilities that are measured at fair value on a recurring basis and indicate the level within the fair value hierarchy reflecting the valuation techniques utilized to determine fair value.
 
February 16, 2014:
Level 1
 
Level 2
Money market mutual funds(1)
$
171

 
$
0

Investment in government and agency securities(2) 
0

 
1,349

Investment in asset and mortgage-backed securities
0

 
5

Forward foreign-exchange contracts, in asset position(3)
0

 
2

Forward foreign-exchange contracts, in (liability) position(3)
0

 
(5
)
Total
$
171

 
$
1,351

 
September 1, 2013:
Level 1
 
Level 2
Money market mutual funds(1)
$
87

 
$
0

Investment in government and agency securities(2) 
0

 
1,263

Investment in corporate notes and bonds
0

 
9

Investment in asset and mortgage-backed securities
0

 
5

Forward foreign-exchange contracts, in asset position(3)
0

 
3

Forward foreign-exchange contracts, in (liability) position(3)
0

 
(3
)
Total
$
87

 
$
1,277

 _______________
(1)
Included in cash and cash equivalents in the accompanying condensed consolidated balance sheets.
(2)
On February 16, 2014, $15 and $1,334 included in cash and cash equivalents and short-term investments, respectively, in the accompanying condensed consolidated balance sheets. On September 1, 2013, there were no securities included in cash and cash equivalents and $1,263 included in short-term investments in the accompanying consolidated balance sheets.
(3)
The asset and the liability values are included in deferred income taxes and other current assets and other current liabilities, respectively, in the accompanying condensed consolidated balance sheets. See Note 1 for additional information on derivative instruments.