Quarterly report pursuant to Section 13 or 15(d)

Fair Value of Financial Instruments (Details)

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Fair Value of Financial Instruments (Details) (USD $)
Sep. 28, 2013
Dec. 29, 2012
Assets    
Assets measured at fair value, Adjusted cost $ 41,003,000  
Asset measured at, fair value 40,644,000  
Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 41,003,000 37,866,000
Assets measured at fair value, Unrealized gains 160,000 73,000
Assets measured at fair value, Unrealized losses (519,000) (239,000)
Asset measured at, fair value 40,644,000 37,700,000
Level 1 [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 4,900,000 2,538,000
Assets measured at fair value, Unrealized gains 71,000 6,000
Assets measured at fair value, Unrealized losses (108,000) (114,000)
Asset measured at, fair value 4,863,000 2,430,000
Liabilities    
Liabilities measured at fair value, Adjusted cost   293,000
Liabilities measured at fair value, Unrealized gains 0 0
Liabilities measured at fair value, Unrealized losses 0 0
Liabilities measured at fair value 79,000 293,000
Convertible Debt, Fair Value Disclosures 79,000  
Level 1 [Member] | Deferred director stock units [Member] | Recurring [Member]
   
Liabilities    
Liabilities measured at fair value, Adjusted cost   263,000
Liabilities measured at fair value, Unrealized gains   0
Liabilities measured at fair value, Unrealized losses   0
Liabilities measured at fair value   263,000
Level 1 [Member] | Phantom stock units [Member] | Recurring [Member]
   
Liabilities    
Liabilities measured at fair value, Adjusted cost   30,000
Liabilities measured at fair value, Unrealized gains 0 0
Liabilities measured at fair value, Unrealized losses 0 0
Liabilities measured at fair value 79,000 30,000
Convertible Debt, Fair Value Disclosures 79,000  
Level 1 [Member] | Equity securities [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 1,363,000 602,000
Assets measured at fair value, Unrealized gains 68,000 6,000
Assets measured at fair value, Unrealized losses (84,000) (86,000)
Asset measured at, fair value 1,347,000 522,000
Level 1 [Member] | Mutual funds [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 3,537,000 1,936,000
Assets measured at fair value, Unrealized gains 3,000 0
Assets measured at fair value, Unrealized losses (24,000) (28,000)
Asset measured at, fair value 3,516,000 1,908,000
Level 2 [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 36,103,000 35,328,000
Assets measured at fair value, Unrealized gains 89,000 67,000
Assets measured at fair value, Unrealized losses (411,000) (125,000)
Asset measured at, fair value 35,781,000 35,270,000
Level 2 [Member] | Corporate fixed income [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 23,705,000 18,270,000
Assets measured at fair value, Unrealized gains 86,000 48,000
Assets measured at fair value, Unrealized losses (299,000) (105,000)
Asset measured at, fair value 23,492,000 18,213,000
Level 2 [Member] | Government securities [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost   195,000
Assets measured at fair value, Unrealized gains   14,000
Assets measured at fair value, Unrealized losses   0
Asset measured at, fair value   209,000
Level 2 [Member] | Municipal bonds [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 3,989,000 4,525,000
Assets measured at fair value, Unrealized gains 2,000 4,000
Assets measured at fair value, Unrealized losses (27,000) (15,000)
Asset measured at, fair value 3,964,000 4,514,000
Level 2 [Member] | Certificates of deposit [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 7,403,000 10,891,000
Assets measured at fair value, Unrealized gains 1,000 1,000
Assets measured at fair value, Unrealized losses 0 0
Asset measured at, fair value 7,404,000 10,892,000
Level 2 [Member] | Asset backed securities [Member] | Recurring [Member]
   
Assets    
Assets measured at fair value, Adjusted cost 1,006,000 1,447,000
Assets measured at fair value, Unrealized gains 0 0
Assets measured at fair value, Unrealized losses (85,000) (5,000)
Asset measured at, fair value $ 921,000 $ 1,442,000