XML 57 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF SHAREHOLDERS' (DEFICIT) EQUITY (USD $)
In Thousands, unless otherwise specified
Total
Common Stock
Common Class A
Capital in Excess of Par Value
Accumulated Other Comprehensive Losses
Accumulated Deficit
Treasury Stock
Beginning balance at Jan. 02, 2011   $ 6,843   $ 86,565 $ (7,875) $ 23,493 $ (50,167)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Dividend reinvestment plan   11          
Exercise of warrants   0   0      
Exercise of stock options   0   0      
Issuance of vested shares   35   (35)      
Share-based compensation expense       1,905      
Issuance of warrants       0      
Other       152      
Cumulative translation adjustment (204)       (204)    
Change in net actuarial losses (18,181)       (15,696)    
Change in net prior service credit (3,059)       (13,638)    
Net loss (125,433)         (125,433)  
Dividends declared, $1.00 per share           (5,896)  
Other           0  
Treasury stock acquired             (58)
Ending balance at Jan. 01, 2012 (99,053) 6,889 945 88,587 (37,413) (107,836) (50,225)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Dividend reinvestment plan   0          
Exercise of warrants   0   0      
Exercise of stock options   0   0      
Issuance of vested shares   33   (33)      
Share-based compensation expense       2,706      
Issuance of warrants       0      
Other       6      
Cumulative translation adjustment 138       138    
Change in net actuarial losses (2,179)       (2,179)    
Change in net prior service credit 0       0    
Net loss (28,476)         (28,476)  
Dividends declared, $1.00 per share           0  
Other           9  
Treasury stock acquired             (11)
Ending balance at Dec. 30, 2012 (126,860) 6,922 945 91,266 (39,454) (136,303) (50,236)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Dividend reinvestment plan   0          
Exercise of warrants   2,646   (2,646)      
Exercise of stock options   1   3      
Issuance of vested shares   84   (84)      
Share-based compensation expense       2,310      
Issuance of warrants       6,509      
Other       (68)      
Cumulative translation adjustment (169)       (169)    
Change in net actuarial losses 14,390       14,390    
Change in net prior service credit 0       0    
Net loss (7,413)         (7,413)  
Dividends declared, $1.00 per share           0  
Other           0  
Treasury stock acquired             0
Ending balance at Dec. 29, 2013 $ (111,297) $ 9,653 $ 945 $ 97,290 $ (25,233) $ (143,716) $ (50,236)