Annual report pursuant to Section 13 and 15(d)

Reconciliation of Changes in Fair Value of Defined Benefit Plan Assets and Projected Benefit Obligations (Detail)

v2.4.0.8
Reconciliation of Changes in Fair Value of Defined Benefit Plan Assets and Projected Benefit Obligations (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 28, 2013
Dec. 29, 2012
Dec. 31, 2011
Schedule Of Reconciliation Of Changes In Fair Value Of Assets And Liabilities [Line Items]      
Fair value of plan assets, beginning of year $ 1,332,211 $ 1,144,178  
Current assets 2,272    
Actual return on plan assets 84,882 146,079  
Current liabilities (Note J) (9,016) (8,742)  
VF contributions 117,591 112,892  
Noncurrent liabilities (Note L) (214,431) (474,175)  
Participant contributions 2,975 2,677  
Funded status (221,175) (482,917)  
Benefits paid (73,308) (76,813)  
Net deferred actuarial losses 422,932 676,373  
Currency translation 3,175 3,198  
Deferred prior service costs 27,594 7,525  
Fair value of plan assets, end of year 1,467,526 1,332,211 1,144,178
Accumulated other comprehensive (income) loss, pretax 450,526 683,898  
Projected benefit obligations, beginning of year 1,815,128 1,546,896  
Accumulated benefit obligations 1,610,369 1,751,741  
Service cost 25,445 23,198 20,867
Discount rate 4.63% 3.92%  
Interest cost 72,003 77,013 78,859
Rate of compensation increase 3.39% 3.83%  
Participant contributions 2,975 2,677  
Actuarial (gain) loss (178,414) 243,766  
Benefits paid (73,308) (76,813)  
Plan amendments 21,321 (5,518)  
Currency translation 3,551 3,909  
Projected benefit obligations, end of year 1,688,701 1,815,128 1,546,896
Funded status, end of year $ (221,175) $ (482,917)