Annual report pursuant to Section 13 and 15(d)

Consolidated Statements Of Stockholders' Equity

v2.4.0.6
Consolidated Statements Of Stockholders' Equity (USD $)
In Thousands
Common Stock [Member]
Additional Paid-In Capital [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Retained Earnings [Member]
Non-Controlling Interests [Member]
Total
Balance at Jan. 03, 2009 $ 109,848 $ 1,749,464 $ (276,294) $ 1,972,874 $ 1,353  
Net income       461,271 (2,813) 458,458
Dividends on Common Stock       (261,682)    
Purchase of treasury stock (1,560)     (110,415)    
Stock compensation plans, net 1,977 115,035   (12,732)    
Common Stock held in trust for deferred compensation plans 20     793    
Distributions to noncontrolling interests         (480)  
Foreign currency translation     37,468   74  
Defined benefit pension plans     25,021      
Derivative financial instruments     510      
Marketable securities     3,553      
Balance at Jan. 02, 2010 110,285 1,864,499 (209,742) 2,050,109 (1,866)  
Net income       571,362 2,150 573,512
Dividends on Common Stock       (264,281)    
Purchase of treasury stock (5,023)       (401,925)     
Stock compensation plans, net 2,815 216,868   (4,072)    
Common Stock held in trust for deferred compensation plans (139)     (10,685)    
Distributions to noncontrolling interests         (240)  
Foreign currency translation     (65,398)   56  
Defined benefit pension plans     (155)      
Derivative financial instruments     4,464      
Marketable securities     2,237      
Balance at Jan. 01, 2011 107,938 2,081,367 (268,594) 1,940,508 100 3,861,319
Net income       888,089 2,304 890,393
Dividends on Common Stock       (285,722)    
Stock compensation plans, net 2,685 284,966   (15,645)    
Common Stock held in trust for deferred compensation plans (66)     (6,426)    
Distributions to noncontrolling interests         (338)  
Acquisition of noncontrolling interests   (50,226)     (2,653) (52,440)
Foreign currency translation     (45,432)   (229)  
Defined benefit pension plans     (90,568)      
Derivative financial instruments     (12,451)      
Marketable securities     (4,432)      
Balance at Dec. 31, 2011 $ 110,557 $ 2,316,107 $ (421,477) $ 2,520,804 $ (816) $ 4,525,175