<ARTICLE>                5
          <LEGEND>                 THIS SCHEDULE CONTAINS SUMMARY FINANCIAL
                                   INFORMATION   EXTRACTED   FROM   Balance
                                   Sheets at December 31,  1997; Statements
                                   of  Operations  for  the  quarter  ended
                                   December  31,  1997; the  Statements  of
                                   Cash   Flows  for   the  quarter   ended
                                   December  31, 1997  AND IS  QUALIFIED IN
                                   ITS  ENTIRETY   BY  REFERENCE   TO  SUCH
                                   FINANCIAL  STATEMENTS   AND  THE   NOTES
                                   THERETO
          </LEGEND>
          <MULTIPLIER>                       1000
                 
          
                                             3-MOS
                                         

          <PERIOD-START>                     OCT-04-1997
          <PERIOD-TYPE>                      YEAR
          <FISCAL-YEAR-END>                  OCT-02-1998
          <PERIOD-END>                       JAN-02-1998
          <CASH>                             1687
          <SECURITIES>                       0
          <RECEIVABLES>                      12948
          <ALLOWANCES>                       149
          <INVENTORY>                        15282
          <CURRENT-ASSETS>                   32681
          <PP&E>                             131616
          <DEPRECIATION>                     31019
          <TOTAL-ASSETS>                     184933
          <CURRENT-LIABILITIES>              18564
          <BONDS>                            35638
          <PREFERRED-MANDATORY>              0
          <PREFERRED>                        0
          <COMMON>                           16
          <OTHER-SE>                         130715
          <TOTAL-LIABILITY-AND-EQUITY>       184933
          <SALES>                            35536
          <TOTAL-REVENUES>                   35536
          <CGS>                              26026
          <TOTAL-COSTS>                      29845
          <OTHER-EXPENSES>                   0
          <LOSS-PROVISION>                   0
          <INTEREST-EXPENSE>                 264
          <INCOME-PRETAX>                    5427
          <INCOME-TAX>                       2062
          <INCOME-CONTINUING>                3365
          <DISCONTINUED>                     0 
          <EXTRAORDINARY>                    2332
          <CHANGES>                          0
          <NET-INCOME>                       1033
          <EPS-PRIMARY>                      0.06
          <EPS-DILUTED>                      0.06