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Supplemental Disclosure of Cash Flow Information (Details) (USD $)
6 Months Ended
Sep. 24, 2011
Sep. 25, 2010
Supplemental Cash Flow  
Accounting for income tax benefits related to the exercise of stock options$ 4,803,000$ 2,106,000
Property, plant and equipment, purchase price adjustment1,331,000 
Deferred income tax asset, purchase price adjustment381,000 
Goodwill, purchase price adjustment325,000 
Intangible assets, purchase price adjustment297,000 
Long-term debt, purchase price adjustment2,334,000 
Current liabilities, exercise of stock options5,485,000 
Common Stock, exercise of stock options6,000 
Paid in capital, exercise of stock options8,685,000 
Treasury Stock, exercise of stock options14,176,000 
Fiscal Year 2012 Acquisitions [Member]
  
Supplemental Cash Flow  
Fair value of assets acquired5,739,000 
Goodwill acquired27,589,000 
Cash paid, net of cash acquired32,533,000 
Liabilities assumed795,000 
Fiscal Year 2011 Acquisitions [Member]
  
Supplemental Cash Flow  
Fair value of assets acquired1,200,000 
Goodwill acquired6,268,000 
Cash paid, net of cash acquired7,106,000 
Liabilities assumed$ 362,000