December 29, 2013 | December 30, 2012 | ||||||
Accumulated net unrealized gain (loss) on: | |||||||
Available-for-sale investments | $ | 10,479 | $ | 15,919 | |||
Foreign currency translation | (47,440 | ) | 155,389 | ||||
Hedging activities | (39,498 | ) | (6,187 | ) | |||
Total accumulated other comprehensive income (loss) | $ | (76,459 | ) | $ | 165,121 |
Fiscal years ended | |||||||||||
December 29, 2013 | December 30, 2012 | January 1, 2012 | |||||||||
Available-for-sale investments | $ | (3,383 | ) | $ | 3,121 | $ | 3,342 | ||||
Foreign currency translation | (38,006 | ) | (23,791 | ) | 10,315 | ||||||
Hedging activities | — | — | 2,504 | ||||||||
$ | (41,389 | ) | $ | (20,670 | ) | $ | 16,161 |
Fiscal years ended | ||||||||||||||
AOCI Component | December 29, 2013 | December 30, 2012 | January 1, 2012 | Statement of Operations Line Item | ||||||||||
Unrealized gain on available-for-sale investments | $ | 2,375 | $ | 2,969 | $ | 34,549 | Interest (expense) and other income (expense), net | |||||||
Tax impact | (1,122 | ) | (1,051 | ) | (2,119 | ) | Provision for income taxes | |||||||
Unrealized gain on available-for-sale investments, net of tax | 1,253 | 1,918 | 32,430 | |||||||||||
Unrealized holding gains (losses) on derivatives: | ||||||||||||||
Foreign exchange contracts | (41,523 | ) | (10,946 | ) | 27,985 | Cost of revenue | ||||||||
Equity market risk contract | — | — | (9,885 | ) | Interest (expense) and other income (expense), net | |||||||||
Tax impact | — | — | 2,504 | Provision for income taxes | ||||||||||
Gain (loss) on cash flow hedging activities, net of tax | (41,523 | ) | (10,946 | ) | 20,604 | |||||||||
Total reclassifications for the period, net of tax | $ | (40,270 | ) | $ | (9,028 | ) | $ | 53,034 |