XML 89 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Changes in Stockholders' Equity (USD $)
In Thousands
Total
Class B Common Stock [Member]
Capital in Excess of Par Value [Member]
Retained Earnings [Member]
Retained Earnings [Member]
Class B Common Stock [Member]
Accumulated Other Comprehensive Loss [Member]
Treasury Stock [Member]
Total Equity of CCBCC [Member]
Total Equity of CCBCC [Member]
Class B Common Stock [Member]
Noncontrolling Interest [Member]
Common Stock [Member]
Common Stock [Member]
Class B Common Stock [Member]
Beginning Balance at Jan. 02, 2011 $ 182,586   $ 104,835 $ 133,041   $ (63,433) $ (61,254) $ 126,064   $ 56,522 $ 10,204 $ 2,671
Net income 32,023     28,608       28,608   3,415    
Other comprehensive income (loss), net of tax (17,387)         (17,387)   (17,387)        
Cash dividends paid ($1.00 per share) (7,141) (2,062)   (7,141) (2,062)     (7,141) (2,062)   (7,141) (2,062)
Issuance of shares of Class B Common Stock 1,327   1,305         1,327       22
Stock compensation adjustment 61   61         61        
Ending Balance at Jan. 01, 2012 189,407   106,201 152,446   (80,820) (61,254) 129,470   59,937 10,204 2,693
Net income 31,459     27,217       27,217   4,242    
Other comprehensive income (loss), net of tax (13,706)         (13,706)   (13,706)        
Cash dividends paid ($1.00 per share) (7,141) (2,083)   (7,141) (2,083)     (7,141) (2,083)   (7,141) (2,083)
Issuance of shares of Class B Common Stock 1,421   1,399         1,421       22
Stock compensation adjustment 81   81         81        
Ending Balance at Dec. 30, 2012 199,438   107,681 170,439   (94,526) (61,254) 135,259   64,179 10,204 2,715
Net income 32,102     27,675       27,675   4,427    
Other comprehensive income (loss), net of tax 36,350         36,350   36,350        
Cash dividends paid ($1.00 per share) (7,141) (2,104)   (7,141) (2,104)     (7,141) (2,104)   (7,141) (2,104)
Issuance of shares of Class B Common Stock 1,298   1,278         1,298       20
Stock compensation adjustment (17)   (17)         (17)        
Ending Balance at Dec. 29, 2013 $ 259,926   $ 108,942 $ 188,869   $ (58,176) $ (61,254) $ 191,320   $ 68,606 $ 10,204 $ 2,735