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Note 13 (Tables)
9 Months Ended
Jun. 27, 2015
Disclosure Text Block [Abstract]  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   

Three Months Ended June 27, 2015

           

Nine Months Ended June 27, 2015

         
    (unaudited)             (unaudited)          
    (in thousands)             (in thousands)          
                                                 
    Foreign    

Unrealized

            Foreign    

Unrealized

         
   

 Currency

   

Holding Loss on

           

 Currency

   

Holding Loss on

         
   

Translation

   

Marketable

           

Translation

   

Marketable

         
   

Adjustments

   

Securities

   

Total

   

Adjustments

   

Securities

   

Total

 
                                                 

Beginning Balance

  $ (7,501 )   $ (2,745 )   $ (10,246 )   $ (4,632 )   $ (1,356 )   $ (5,988 )
                                                 

Other comprehensive income (loss) before reclassifications

    (420 )     (728 )     (1,148 )     (3,289 )     (2,333 )     (5,622 )
                                                 

Amounts reclassified from accumulated other comprehensive income

    -       1,099       1,099       -       1,315       1,315  
                                                 

Ending Balance

  $ (7,921 )   $ (2,374 )   $ (10,295 )   $ (7,921 )   $ (2,374 )   $ (10,295 )
   

Three Months Ended June 28, 2014

           

Nine Months Ended June 28, 2014

         
    (unaudited)             (unaudited)          
    (in thousands)             (in thousands)          
                                                 
    Foreign    

Unrealized

            Foreign    

Unrealized

         
   

 Currency

   

Holding Loss on

           

 Currency

   

Holding Loss on

         
   

Translation

   

Marketable

           

Translation

   

Marketable

         
   

Adjustments

   

Securities

   

Total

   

Adjustments

   

Securities

   

Total

 
                                                 

Beginning Balance

  $ (3,979 )   $ (798 )   $ (4,777 )   $ (3,703 )   $ (2,227 )   $ (5,930 )
                                                 

Other comprehensive income (loss) before reclassifications

    262       902       1,164       (14 )     2,028       2,014  
                                                 

Amounts reclassified from accumulated other comprehensive income

    -       63       63       -       366       366  
                                                 

Ending Balance

  $ (3,717 )   $ 167     $ (3,550 )   $ (3,717 )   $ 167     $ (3,550 )