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FAIR VALUE MEASUREMENTS (Fair Value Hierarchy of Assets and Liabilities Measured at Fair Value on a Recurring Basis) (Details)
$ in Thousands, € in Millions
Oct. 03, 2015
USD ($)
Jul. 04, 2015
USD ($)
Jul. 04, 2015
EUR (€)
Jan. 03, 2015
USD ($)
Liabilities:        
Contingent consideration   $ 1,700 € 1.5  
Fair Value Measurement, Recurring Basis | Total        
Assets:        
Forward contracts $ 17,668     $ 27,669
Investment in publicly traded mutual funds 2,401     2,477
Net investment hedges 1,917      
Interest rate swap       1,724
Total 21,986     31,870
Liabilities:        
Contingent consideration 5,276     7,114
Forward contracts 1,675      
Interest rate swap 3,079     2,514
Total 10,030     9,628
Fair Value Measurement, Recurring Basis | Level 1        
Assets:        
Forward contracts 0     0
Investment in publicly traded mutual funds 2,401     2,477
Net investment hedges 0      
Interest rate swap       0
Total 2,401     2,477
Liabilities:        
Contingent consideration 0     0
Forward contracts 0      
Interest rate swap 0     0
Total 0     0
Fair Value Measurement, Recurring Basis | Level 2        
Assets:        
Forward contracts 17,668     27,669
Investment in publicly traded mutual funds 0     0
Net investment hedges 1,917      
Interest rate swap       1,724
Total 19,585     29,393
Liabilities:        
Contingent consideration 0     0
Forward contracts 1,675      
Interest rate swap 3,079     2,514
Total 4,754     2,514
Fair Value Measurement, Recurring Basis | Level 3        
Assets:        
Forward contracts 0     0
Investment in publicly traded mutual funds 0     0
Net investment hedges 0      
Interest rate swap       0
Total 0     0
Liabilities:        
Contingent consideration 5,276     7,114
Forward contracts 0      
Interest rate swap 0     0
Total $ 5,276     $ 7,114