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Fair Value Measurements (Tables)
6 Months Ended
Jul. 28, 2012
Fair Value Measurements [Abstract]  
Schedule Of Assets And Liabilities Measured At Fair Value On Recurring Basis
        Fair Value Measurements
($ thousands)   Total     Level 1     Level 2     Level 3
Asset (Liability)                      
 
As of July 28, 2012:                      
Cash equivalents – money market funds $ 36,340   $ 36,340   $   $
Non-qualified deferred compensation plan assets   1,225     1,225        
Non-qualified deferred compensation plan liabilities   (1,225 )   (1,225 )      
Deferred compensation plan liabilities for non-employee                      
directors   (908 )   (908 )      
Derivative financial instruments, net   (1,073 )       (1,073 )  
 
As of July 30, 2011:                      
Cash equivalents – money market funds $ 19,810   $ 19,810   $   $
Non-qualified deferred compensation plan assets   1,846     1,846        
Non-qualified deferred compensation plan liabilities   (1,846 )   (1,846 )      
Deferred compensation plan liabilities for non-employee                      
directors   (636 )   (636 )      
Derivative financial instruments, net   (653 )       (653 )  
 
As of January 28, 2012                      
Cash equivalents – money market funds $ 5,063   $ 5,063   $   $
Non-qualified deferred compensation plan assets   1,081     1,081        
Non-qualified deferred compensation plan liabilities   (1,081 )   (1081 )      
Deferred compensation plan liabilities for non-employee                      
directors   (620 )   (620 )      
Derivative financial instruments, net   206         206    
Schedule Of Fair Value Of Financial Instruments
    July 28, 2012   July 30, 2011   January 28, 2012
    Carrying   Fair   Carrying   Fair   Carrying   Fair
($ thousands)   Amount   Value   Amount   Value   Amount   Value
Senior Notes $ 198,726 $ 197,000 $ 198,540 $ 195,000 $ 198,633 $ 190,000