Employee benefit plans (Details) (USD $) | 3 Months Ended | 9 Months Ended | |
Jun. 28, 2014 | Jun. 29, 2013 | Jun. 28, 2014 | Jun. 29, 2013 | Sep. 30, 2013 |
Components of net pension cost [Abstract] | ' | | ' | ' | | ' | ' |
Interest cost | $330,000 | | $309,000 | $973,000 | | $945,000 | ' |
Expected return on plan assets | -331,000 | | -286,000 | -978,000 | | -876,000 | ' |
Amortization of net loss | 57,000 | | 68,000 | 170,000 | | 208,000 | ' |
Net periodic benefit cost | 56,000 | | 91,000 | 165,000 | | 277,000 | ' |
Net cost of defined contribution plans | 125,000 | | 103,000 | 372,000 | | 346,000 | ' |
Net cost of all employee benefit plans | 181,000 | | 194,000 | 537,000 | | 623,000 | ' |
Movement in liability for pension benefits [Roll forward] | ' | | ' | ' | | ' | ' |
Liability for pension benefits at beginning of period | ' | | ' | 8,354,000 | | 10,264,000 | ' |
Net periodic benefit cost | 56,000 | | 91,000 | 165,000 | | 277,000 | ' |
Plan contributions | ' | | ' | -429,000 | | -321,000 | ' |
Amortization of net loss | ' | | ' | -170,000 | | -208,000 | ' |
Effect of exchange rate changes | ' | | ' | 400,000 | | -516,000 | ' |
Balance at end of period | 8,320,000 | | 9,496,000 | 8,320,000 | | 9,496,000 | ' |
Amounts recognized in balance sheet [Abstract] | ' | | ' | ' | | ' | ' |
Non-current liabilities | 8,320,000 | | 9,496,000 | 8,320,000 | | 9,496,000 | 8,354,000 |
Amounts recognized in accumulated other comprehensive (loss) [Abstract] | ' | | ' | ' | | ' | ' |
Actuarial loss, 2014: net of $13 and $39 tax benefit for the three and nine month periods respectively, (2013: 2014 net of $19 and $56 tax benefit for the three and nine month periods, respectively) | 44,000 | | 49,000 | 131,000 | | 152,000 | ' |
Tax benefits on actuarial loss | 13,000 | | 19,000 | 39,000 | | 56,000 | ' |
Estimated future benefit payments [Abstract] | ' | | ' | ' | | ' | ' |
2014 | 497,000 | | ' | 497,000 | | ' | ' |
2015 | 618,000 | | ' | 618,000 | | ' | ' |
2016 | 653,000 | | ' | 653,000 | | ' | ' |
2017 | 646,000 | | ' | 646,000 | | ' | ' |
2018 | 646,000 | | ' | 646,000 | | ' | ' |
2019 - 2023 | 3,296,000 | | ' | 3,296,000 | | ' | ' |
Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 21,300,000 | [1] | ' | 21,300,000 | [1] | ' | ' |
Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
Standard Life Pension Global Absolute Returns Strategies Fund [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 7,327,000 | [1] | ' | 7,327,000 | [1] | ' | ' |
Standard Life Pension Global Absolute Returns Strategies Fund [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
Standard Life Pension Global Absolute Returns Strategies Fund [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
Standard Life U.K. Indexed Linked Fund [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 1,854,000 | [1] | ' | 1,854,000 | [1] | ' | ' |
Standard Life U.K. Indexed Linked Fund [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
Standard Life U.K. Indexed Linked Fund [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
Standard Life Long Corporate Bond Fund [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 1,810,000 | [1] | ' | 1,810,000 | [1] | ' | ' |
Standard Life Long Corporate Bond Fund [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
Standard Life Long Corporate Bond Fund [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
CF Ruffer Absolute Return Fund [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 7,321,000 | [1] | ' | 7,321,000 | [1] | ' | ' |
CF Ruffer Absolute Return Fund [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
CF Ruffer Absolute Return Fund [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
U.S. Equity Funds [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 346,000 | [1] | ' | 346,000 | [1] | ' | ' |
U.S. Equity Funds [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
U.S. Equity Funds [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
U.S. Mutual Funds and Fixed Income Funds [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 2,477,000 | [1] | ' | 2,477,000 | [1] | ' | ' |
U.S. Mutual Funds and Fixed Income Funds [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
U.S. Mutual Funds and Fixed Income Funds [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
Cash [Member] | Level 1 (Quoted prices in active markets) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 165,000 | [1] | ' | 165,000 | [1] | ' | ' |
Cash [Member] | Level 2 (Significant observable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [2] | ' | 0 | [2] | ' | ' |
Cash [Member] | Level 3 (Unobservable inputs) [Member] | ' | | ' | ' | | ' | ' |
Fair Value of Plan Assets [Abstract] | ' | | ' | ' | | ' | ' |
Fair value of plan assets | 0 | [3] | ' | 0 | [3] | ' | ' |
U.S. Defined Benefit Plan [Member] | ' | | ' | ' | | ' | ' |
Estimated future employer contributions [Abstract] | ' | | ' | ' | | ' | ' |
Employer contributions | ' | | ' | 100,000 | | ' | ' |
Estimated future employer contributions in current fiscal year | ' | | ' | 100,000 | | ' | ' |
U.K. Defined Benefit Plan [Member] | ' | | ' | ' | | ' | ' |
Estimated future employer contributions [Abstract] | ' | | ' | ' | | ' | ' |
Employer contributions | ' | | ' | 329,000 | | ' | ' |
Estimated future employer contributions in current fiscal year | ' | | ' | $500,000 | | ' | ' |
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[1] | Level 1 investments represent mutual funds for which a quoted market price is available on an active market. These investments will primarily hold stocks or bonds, or a combination of stocks and bonds. |
[2] | The Company currently does not have any Level 2 pension plan financial assets. |
[3] | The Company currently does not have any Level 3 pension plan financial assets. |