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Debt and Other Obligations - Additional Information (Detail) (USD $)
1 Months Ended 6 Months Ended 1 Months Ended 6 Months Ended 1 Months Ended 1 Months Ended 6 Months Ended 1 Months Ended 6 Months Ended 1 Months Ended 1 Months Ended
Apr. 05, 2013
Jul. 13, 2013
Dec. 29, 2012
Apr. 05, 2013
New Credit Facility
Jul. 13, 2013
New Credit Facility
Dec. 29, 2012
New Credit Facility
Jul. 13, 2013
Standby Letters of Credit
Dec. 29, 2012
Standby Letters of Credit
Apr. 05, 2013
New Term Loan
Jul. 13, 2013
Revolving Credit Facility
Jul. 13, 2013
Letter of Credit
Jul. 13, 2013
Minimum
Apr. 05, 2013
Minimum
New Credit Facility
Jul. 13, 2013
Maximum
Apr. 05, 2013
Maximum
New Credit Facility
Apr. 05, 2013
Base Rate Loans
Minimum
Apr. 05, 2013
Base Rate Loans
Minimum
New Credit Facility
Apr. 05, 2013
Base Rate Loans
Maximum
Apr. 05, 2013
Base Rate Loans
Maximum
New Credit Facility
Apr. 05, 2013
Eurodollar Loans
Minimum
Apr. 05, 2013
Eurodollar Loans
Minimum
New Credit Facility
Apr. 05, 2013
Eurodollar Loans
Maximum
Apr. 05, 2013
Eurodollar Loans
Maximum
New Credit Facility
Apr. 05, 2013
Federal Funds Rate
New Credit Facility
Apr. 03, 2012
Indenture
Jul. 13, 2013
Indenture
Apr. 03, 2012
Indenture
Prior To January First Two Thousand And Twenty Two
Apr. 03, 2012
Indenture
Change Of Control Triggering Event
Jul. 13, 2013
4.375% Senior Notes
Jul. 13, 2013
Redeemable Senior Notes
Apr. 05, 2013
Amended Term Loans
Jul. 13, 2013
Amended Term Loans
Dec. 29, 2012
Amended Term Loans
Aug. 05, 2013
Amended Term Loans
Subsequent Event
Apr. 05, 2013
Amended Term Loans
Base Rate Loans
Minimum
Apr. 05, 2013
Amended Term Loans
Base Rate Loans
Maximum
Apr. 05, 2013
Amended Term Loans
Eurodollar Loans
Minimum
Apr. 05, 2013
Amended Term Loans
Eurodollar Loans
Maximum
Debt Instrument [Line Items]                                                                            
Bank overdraft balance   $ 14,500,000 $ 16,800,000                                                                      
Line of credit facility outstanding daily balance during period         138,700,000 110,500,000 15,900,000 15,800,000     345,400,000 209,000,000   87,000,000                                                
Term loan borrowed amount   150,000,000             300,000,000                               400,000,000 400,000,000         150,000,000              
Basis spread on variable rate                               0.125% 0.025% 1.375% 1.025% 1.125% 1.025% 2.375% 2.025% 0.40%             0.50%       0.00% 1.375% 0.875% 2.375%
Additional financing costs 1,400,000 1,351,000   600,000                                           3,900,000         100,000              
Commitment Fee Basis Points 0.20%                                                                          
Line of credit facility, maximum borrowing capacity       700,000,000         300,000,000                                                          
Price to redeem notes as a percentage of principal                                                 100.00%   100.00% 101.00%                    
Variable interest rate                                                 0.35%                          
Term loan maturity date                                                         Apr. 01, 2022 Jan. 01, 2022 Aug. 01, 2013              
Discount on notes                                                   800,000                        
Line of credit facility, amount available   15,900,000   500,000,000                                                                    
Line of credit facility, additional borrowing capacity       200,000,000                                                                    
Minimum interest rate in addition to interbank Eurodollar market rate       1.00%                                                                    
Facility fee range                         0.10%   0.35%                                              
Financing costs       1,600,000                                                                    
Line of credit facility, borrowings                   1,024,300,000                                                        
Line of credit facility, repaid borrowings                   996,100,000                                                        
Annual amortization of principal balance for first year                                                             10.00%              
Annual amortization of principal balance for second year                                                             10.00%              
Annual amortization of principal balance for third year                                                             15.00%              
Annual amortization of principal balance for fourth year                                                             20.00%              
Annual amortization of principal balance for fifth year                                                             45.00%              
Amounts outstanding under term loan   16,875,000 67,500,000                                                         16,900,000 67,500,000          
Repayment of term loan                                                                   16,900,000        
Unamortized financing costs                                                             $ 800,000