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RESTRICTED CASH AND INVESTMENTS (Tables)
6 Months Ended
Jun. 24, 2016
Restricted Cash and Investments [Abstract]  
Schedule of restricted cash and investments
The following is a summary of our restricted cash and investments (in thousands):
 
June 24,
2016
 
December 25,
2015
Cash collateral held by insurance carriers
$
26,438

 
$
23,634

Cash and cash equivalents held in Trust
25,205

 
26,046

Investments held in Trust
138,391

 
126,788

Other (1)
14,320

 
11,944

Total restricted cash and investments
$
204,354

 
$
188,412


(1)
Primarily consists of deferred compensation plan accounts, which are comprised of mutual funds classified as available-for-sale securities.
Schedule of held-to-maturity investments
The following tables present fair value disclosures for our held-to-maturity investments, which are carried at amortized cost (in thousands):
 
June 24, 2016
 
Amortized Cost
 
Gross Unrealized Gain
 
Gross Unrealized Loss
 
Fair Value
Municipal debt securities
$
65,231

 
$
2,587

 
$

 
$
67,818

Corporate debt securities
66,007

 
1,461

 
(2
)
 
67,466

Agency mortgage-backed securities
7,153

 
117

 
(1
)
 
7,269

 
$
138,391

 
$
4,165

 
$
(3
)
 
$
142,553

 
December 25, 2015
 
Amortized Cost
 
Gross Unrealized Gain
 
Gross Unrealized Loss
 
Fair Value
Municipal debt securities
$
67,948

 
$
1,345

 
$
(4
)
 
$
69,289

Corporate debt securities
50,462

 
226

 
(152
)
 
50,536

Agency mortgage-backed securities
8,378

 
73

 
(31
)
 
8,420

 
$
126,788

 
$
1,644

 
$
(187
)
 
$
128,245

Schedule of held-to-maturity investments by contractual maturity
The amortized cost and fair value by contractual maturity of our held-to-maturity investments are as follows (in thousands):
 
June 24, 2016
 
Amortized Cost
 
Fair Value
Due in one year or less
$
16,580

 
$
16,649

Due after one year through five years
68,592

 
69,916

Due after five years through ten years
53,219

 
55,988

 
$
138,391

 
$
142,553