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Derivative Instruments and Hedging Activities-Balance Sheet (Details) (USD $)
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May 25, 2014
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Nov. 24, 2013
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Carrying Value [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Hedging assets |
$ 0 |
$ 0 |
| Hedging liabilities |
(222,912,000) |
(424,994,000) |
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Carrying Value [Member] | Forward foreign exchange contracts [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Derivative Asset, net |
8,039,000 |
12,025,000 |
| Derivative Liability, net |
(15,718,000) |
(7,215,000) |
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Carrying Value [Member] | Other assets [Member] | Forward foreign exchange contracts [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Derivative asset, gross asset |
4,380,000 |
11,145,000 |
| Derivative liability, gross asset |
(56,000) |
(4,000,000) |
| Derivative Asset, Net Carrying Value |
4,324,000 |
7,145,000 |
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Carrying Value [Member] | Other accrued liabilities [Member] | Forward foreign exchange contracts [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Derivative asset, gross liability |
3,659,000 |
880,000 |
| Derivative Liability, gross liability |
(15,662,000) |
(3,215,000) |
| Derivative Liability, Net Carrying Value |
(12,003,000) |
(2,335,000) |
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Bonds [Member] | 4.25% Yen-denominated Eurobonds, due 2016 [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Stated interest rate |
4.25% |
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Bonds [Member] | 4.25% Yen-denominated Eurobonds, due 2016 [Member] | Carrying Value [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Stated interest rate |
4.25% |
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| Hedging assets |
0 |
0 |
| Hedging liabilities |
(18,087,000) |
(20,564,000) |
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Senior notes [Member] | 7.75% Euro senior notes due 2018 [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Stated interest rate |
7.75% |
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Senior notes [Member] | 7.75% Euro senior notes due 2018 [Member] | Carrying Value [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Stated interest rate |
7.75% |
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| Hedging assets |
0 |
0 |
| Hedging liabilities |
(204,825,000) |
(404,430,000) |
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Long [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Forward foreign exchange contracts |
570,700,000 |
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Short [Member]
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| Carrying Value, Balance Sheet Location By Contract Type, By Hedging Designation [Line Items] |
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| Forward foreign exchange contracts |
$ 450,100,000 |
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