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Condensed Consolidated Guarantor Financial Information (Statements Of Cash Flows) (Details) (USD $)
In Thousands
6 Months Ended
Jun. 26, 2011
Jun. 27, 2010
Jun. 26, 2011
Parent Company [Member]
Jun. 27, 2010
Parent Company [Member]
Jun. 26, 2011
Guarantor Subsidiaries [Member]
Jun. 27, 2010
Guarantor Subsidiaries [Member]
Jun. 26, 2011
Non-Guarantor Subsidiaries [Member]
Jun. 27, 2010
Non-Guarantor Subsidiaries [Member]
Net cash (used in) provided by operating activities from continuing operations $ 39,634 $ 79,736 $ (80,269) $ (58,649) $ 82,500 $ 123,477 $ 37,403 $ 14,908
Expenditures for property, plant and equipment (15,277) (13,658) (154) (1,096) (10,127) (9,704) (4,996) (2,858)
Proceeds from sales of businesses and assets, net of cash sold 100,916 74,734   50,000 62,044 24,734 38,872  
Payments for businesses and intangibles acquired, net of cash acquired (30,570) (81)     (30,570)     (81)
Net cash provided by investing activities from continuing operations 55,069 60,995 (154) 48,904 21,347 15,030 33,876 (2,939)
Proceeds from long-term borrowings 515,000   515,000          
Repayment of long-term borrowings (455,800) (64,170) (455,800) (64,170)        
Debt extinguishment, issuance and amendment fees (19,058)   (19,058)          
Increase in notes payable and current borrowings   39,700   39,700        
Proceeds from stock compensation plans 30,577 8,032 30,577 8,032        
Payments to noncontrolling interest shareholders   (637)           (637)
Dividends (27,438) (27,120) (27,438) (27,120)        
Intercompany transactions     192,478 133,320 (103,847) (138,507) (88,631) 5,187
Net cash provided by (used in) financing activities from continuing operations 43,281 (44,195) 235,759 89,762 (103,847) (138,507) (88,631) 4,550
Net cash used in operating activities 13,068 19,738 (992) 3,315     14,060 16,423
Net cash provided by (used in) investing activities (1,241) (1,846) (3) (182)     (1,238) (1,664)
Net cash provided by discontinued operations 11,827 17,892 (995) 3,133     12,822 14,759
Effect of exchange rate changes on cash and cash equivalents 7,546 (15,604)         7,546 (15,604)
Net (decrease) increase in cash and cash equivalents 157,357 98,824 154,341 83,150     3,016 15,674
Cash and cash equivalents at the beginning of the period 208,452 188,305 22,632 31,777     185,820 156,528
Cash and cash equivalents at the end of the period $ 365,809 $ 287,129 $ 176,973 $ 114,927     $ 188,836 $ 172,202