WARNING: THE EDGAR SYSTEM ENCOUNTERED ERROR(S) WHILE PROCESSING THIS SCHEDULE. Exhibit 27.1 FINANCIAL DATA SCHEDULE PERIOD TYPE YEAR - ------------------------------------------------------------------------------------------- --------------- FISCAL YEAR END............................................................................ DEC-28-1996 PERIOD END................................................................................. DEC-28-1996 CASH....................................................................................... 284,512 SECURITIES................................................................................. 1,015 RECEIVABLES, net........................................................................... 148,449 ALLOWANCES................................................................................. 8,772 INVENTORY.................................................................................. 8,133 CURRENT ASSETS............................................................................. 491,135 PP&E....................................................................................... 288,231 DEPRECIATION............................................................................... 127,304 TOTAL ASSETS............................................................................... 717,001 CURRENT LIABILITIES........................................................................ 231,578 BONDS...................................................................................... 0 COMMON..................................................................................... 277,793 PREFERRED-MANDATORY........................................................................ 0 PREFERRED.................................................................................. 0 OTHER STOCK EQUITY......................................................................... 149,755 TOTAL LIAB AND EQUITY...................................................................... 717,001 SALES...................................................................................... 741,459 TOTAL REVENUES............................................................................. 741,459 COGS....................................................................................... 153,473 TOTAL COSTS................................................................................ 153,473 OTHER EXPENSES............................................................................. 496,727 LOSS-PROVISION............................................................................. 0 INTEREST EXPENSE........................................................................... 1,913 INCOME-PRE-TAX............................................................................. 90,477 INCOME-TAX................................................................................. 61,439 INCOME-CONTINUING.......................................................................... 29,038 DISCONTINUED............................................................................... 0 EXTRAORDINARY.............................................................................. 0 CHANGES.................................................................................... 0 NET INCOME................................................................................. 29,038 EPS-PRIMARY................................................................................ 0.32 EPS-DILUTED................................................................................ 0.32 79