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Fair Value Measurements - Assets at Fairvalue - (Tables)
9 Months Ended 12 Months Ended
Nov. 01, 2014
Nov. 02, 2013
Feb. 01, 2014
Fair Value Measurements [Abstract]      
Fair Value Disclosures
     Quoted      
     Prices in      
     Active Significant   
     Markets for Other Significant
     Identical Observable Unobservable
  November 1, 2014 Assets Inputs Inputs
Description   Level 1 Level 2 Level 3
Assets:            
State/Municipal Bonds $ 149,893 $ - $ 149,893 $ -
Corporate Bonds   8,384   -   8,384   -
Auction Rate Securities (ARS)   3,140   -   -   3,140
U.S. Treasury Notes   3,754   3,754   -   -
Cash Surrender Value of Life Insurance   3,852   -   -   3,852
Privately Managed Funds   308   -   -   308
Corporate Equities   642   642   -   -
Certificates of Deposit   100   100   -   -
Total Assets $ 170,073 $ 4,496 $ 158,277 $ 7,300
             
Liabilities:            
Deferred Compensation   (4,201)   -   -   (4,201)
Total Liabilities $ (4,201) $ - $ - $ (4,201)
             
    Quoted      
    Prices in      
    Active Significant   
    Markets for Other Significant
    Identical Observable Unobservable
  November 2, 2013 Assets Inputs Inputs
Description  Level 1 Level 2 Level 3
            
Assets:           
State/Municipal Bonds$ 158,996 $ - $ 158,996 $ -
Corporate Bonds  978   -   978   -
Auction Rate Securities (ARS)  3,450   -   -   3,450
U.S. Treasury Notes  3,404   3,404   -   -
Cash Surrender Value of Life Insurance  2,897   -   -   2,897
Privately Managed Funds  393   -   -   393
Corporate Equities  606   606   -   -
Certificates of Deposit  100   100   -   -
Total Assets$ 170,824 $ 4,110 $ 159,974 $ 6,740
            
Liabilities:           
Deferred Compensation  (3,043)   -   -   (3,043)
Total Liabilities$ (3,043) $ - $ - $ (3,043)
     Quoted      
     Prices in      
     Active Significant   
     Markets for Other Significant
     Identical Observable Unobservable
   February 1, 2014 Assets Inputs Inputs
Description   Level 1 Level 2 Level 3
Assets:            
State/Municipal Bonds $ 159,074 $ - $ 159,074 $ -
Corporate Bonds  2,799   -   2,799   -
Auction Rate Securities (ARS)  3,140   -   -   3,140
U.S. Treasury Notes  3,405   3,405   -   -
Cash Surrender Value of Life Insurance  2,957   -   -   2,957
Privately Managed Funds  392   -   -   392
Corporate Equities  585   585   -   -
Certificates of Deposit  100   100   -   -
Total Assets $ 172,452 $ 4,090 $ 161,873 $ 6,489
             
Liabilities:            
Deferred Compensation   (3,298)   -   -   (3,298)
Total Liabilities $ (3,298) $ - $ - $ (3,298)