<ARTICLE>                             5
<LEGEND>

This schedule contains restated financial information extracted from the 1995
annual report for fiscal years 1995 and 1994 and is qualified in its entirety by
reference to such report. The previously filed financial data schedules have
been restated to conform to revised financial statement presentation. The
restatement had no effect on income.
</LEGEND>                 
<RESTATED>
<MULTIPLIER> 1,000        

        
                                                                       
<PERIOD-TYPE>                       3-MOS        6-MOS        9-MOS           9-MOS         YEAR
<FISCAL-YEAR-END>             DEC-31-1995  DEC-31-1995  DEC-31-1995     DEC-25-1994  DEC-25-1994
<PERIOD-START>                DEC-26-1994  DEC-26-1994  DEC-26-1994     DEC-27-1993  DEC-27-1993
<PERIOD-END>                  MAR-26-1995  JUN-25-1995  SEP-24-1995     SEP-25-1994  DEC-25-1994
<CASH>                             23,290       18,102       14,712          16,736       18,476
<SECURITIES>                       43,759       42,890       22,198          45,895        3,348
<RECEIVABLES>                     317,976      365,583      351,911         305,637      347,314
<ALLOWANCES>                       34,286       34,103       36,661          35,819       33,998
<INVENTORY>                        39,570       47,431       53,162          34,674       33,488
<CURRENT-ASSETS>                  599,261      611,663      616,628         566,190      543,544
<PP&E>                          1,335,803    1,347,442    1,344,971       1,291,633    1,316,715
<DEPRECIATION>                    693,142      706,705      716,663         657,182      675,684
<TOTAL-ASSETS>                  2,831,209    2,876,418    3,080,850       2,836,793    2,785,825
<CURRENT-LIABILITIES>             619,603      553,094      568,409         522,305      529,686
<BONDS>                                 0            0            0               0            0
<COMMON>                            1,018        1,018        1,018           1,018        1,018
<PREFERRED-MANDATORY>                   0            0            0               0            0
<PREFERRED>                       322,917      322,541      322,541         329,286      329,286
<OTHER-SE>                        975,633    1,018,677    1,091,295         972,921    1,002,676
<TOTAL-LIABILITY-AND-EQUITY>    2,831,209    2,876,418    3,080,850       2,836,793    2,785,825
<SALES>                                 0            0            0               0            0
<TOTAL-REVENUES>                  521,406    1,098,624    1,650,868       1,533,611    2,112,656
<CGS>                                   0            0            0               0            0
<TOTAL-COSTS>                     265,312      555,656      851,300         770,672    1,059,306
<OTHER-EXPENSES>                        0            0            0               0            0
<LOSS-PROVISION>                        0            0            0               0            0
<INTEREST-EXPENSE>                  4,263        8,883       14,534          15,689       20,585
<INCOME-PRETAX>                   106,383      229,456      303,526         275,652      391,847
<INCOME-TAX>                       43,085       92,930      122,928         111,639      158,698
<INCOME-CONTINUING>                63,298      136,526      180,598         164,013      233,149
<DISCONTINUED>                      4,665       13,564       25,392           8,915        8,898
<EXTRAORDINARY>                         0            0            0               0            0
<CHANGES>                               0            0            0               0            0
<NET-INCOME>                       67,963      150,090      205,990         172,928      242,047
<EPS-PRIMARY>                        0.96         2.15         2.94            2.36         3.32
<EPS-DILUTED>                        0.89         1.98         2.71            2.18         3.07