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Fair Value of Financial Instruments (Details 5) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jul. 04, 2015
Jul. 04, 2015
Jan. 03, 2015
Term Loan Facility      
Fair value liabilities reconciliation of changes      
Fair value of debt $ 82,500 $ 82,500 $ 87,400
Assets and liabilities measured at fair value on recurring basis | Contingent consideration      
Fair value liabilities reconciliation of changes      
Balance at the beginning of the period 14,804 18,438  
Settlements   (4,464)  
Loss recognized in earnings 288 1,118  
Balance at the end of the period 15,092 15,092  
Net loss for the period included in earnings attributable to contingent consideration held at the end of the period: $ (288) $ (1,118)