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Derivatives (Tables)
6 Months Ended
Jul. 30, 2011
Derivatives  
Fair Value Of Company's Hedging Portfolio Related To Interest Rate Contract And Foreign Currency Contracts
                                 
            Fair Value  
    Location on Condensed     July 30,     July 31,     January 29,  
(dollars in millions)   Consolidated Balance Sheet     2011     2010     2011  
 
Interest rate contract
  Other liabilities   $     $ 3.4     $ 1.3  
Interest rate contract
  Accrued expenses   $ 3.3     $ 7.5     $ 6.1  
Foreign currency contracts
  Accrued expenses   $ 0.3     $ 0.5     $ 0.4  
Foreign currency contracts
  Other current assets   $     $     $ 0.1  
Impact Of Derivative Instruments On Condensed Consolidated Financial Statements
                                         
    Gain (Loss) Recognized in             Loss Reclassified from AOCI into  
    OCI on Derivatives             (Loss) Earnings  
    13 Weeks Ended     Location on Condensed     13 Weeks Ended  
    July 30,     July 31,     Consolidated Statement of     July 30,     July 31,  
(dollars in millions) 2011     2010     (Loss) Earnings   2011     2010  
 
Interest rate contract
  $ 0.2     $ (1.1 )   Interest expense   $ (1.1 )   $ (1.8 )
Foreign currency contracts
  $ 0.1     $ (0.2 )   Cost of sales   $ (0.1 )   $ (0.1 )
    Loss Recognized in OCI on             Loss Reclassified from AOCI  
    Derivatives             into (Loss) Earnings  
    26 Weeks Ended     Location on Condensed     26 Weeks Ended  
    July 30,     July 31,     Consolidated Statement     July 30,     July 31,  
(dollars in millions) 2011     2010     of (Loss) Earnings   2011     2010  
 
Interest rate contract
  $     $ (1.3 )   Interest expense   $ (2.7 )   $ (4.0 )
Foreign currency contracts
  $ (0.2 )   $ (0.5 )   Cost of sales   $ (0.3 )   $ (0.1 )