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CONDENSED CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Common Stock
Additional Paid-In Capital
Accumulated Other Comprehensive (Loss) Income
Retained Earnings
Total Caleres, Inc. Shareholders' Equity
Non-controlling Interests
Total
BALANCE at Feb. 01, 2025 $ 336 $ 190,320 $ (34,022) $ 442,390 $ 599,024 $ 6,925 $ 605,949
BALANCE (in shares) at Feb. 01, 2025 33,631,764            
Net earnings (loss)       6,943 6,943 (997) 5,946
Foreign currency translation adjustment     5,761   5,761 47 5,808
Pension and other postretirement benefits adjustments, net of tax     1,088   1,088   1,088
Comprehensive (loss) income     6,849 6,943 13,792 (950) 12,842
Contributions by noncontrolling interests, net           1,750 1,750
Dividends ($0.28 per share)       (2,362) (2,362)   (2,362)
Acquisition of treasury stock $ (3)     (5,048) (5,051)   $ (5,051)
Acquisition of treasury stock (in shares) (300,000)           (300,000)
Issuance of common stock under share-based plans, net $ 5 (3,072)     (3,067)   $ (3,067)
Issuance of common stock under share-based plans, net (in shares) 483,778           118,147
Share-based compensation expense   2,843     2,843   $ 2,843
BALANCE at May. 03, 2025 $ 338 190,091 (27,173) 441,923 605,179 7,725 612,904
BALANCE (in shares) at May. 03, 2025 33,815,542            
BALANCE at Jan. 31, 2026 $ 338 198,880 (18,576) 421,209 601,851 7,105 608,956
BALANCE (in shares) at Jan. 31, 2026 33,850,012            
Net earnings (loss)       14,277 14,277 (527) 13,750
Foreign currency translation adjustment     (322)   (322) (132) (454)
Pension and other postretirement benefits adjustments, net of tax     1,083   1,083   1,083
Comprehensive (loss) income     761 14,277 15,038 (659) 14,379
Contributions by noncontrolling interests, net           850 850
Dividends ($0.28 per share)       (2,354) (2,354)   (2,354)
Acquisition of treasury stock $ (3)     (3,120) (3,123)   $ (3,123)
Acquisition of treasury stock (in shares) (250,000)           (250,000)
Issuance of common stock under share-based plans, net $ (1) (2,082)     (2,083)   $ (2,083)
Issuance of common stock under share-based plans, net (in shares) (118,147)           118,147
Share-based compensation expense   2,747     2,747   $ 2,747
BALANCE at May. 02, 2026 $ 334 $ 199,545 $ (17,815) $ 430,012 $ 612,076 $ 7,296 $ 619,372
BALANCE (in shares) at May. 02, 2026 33,481,865