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General - Notes to Financial Statements - (Details) - USD ($)
12 Months Ended
Feb. 02, 2019
Feb. 03, 2018
Jan. 28, 2017
General Dsiclosure [Abstract]      
Restricted Cash and Cash Equivalents In Escrow $ 3,802,000 $ 3,722,000  
Asset Impairment Charges 1,548,000 7,698,000 $ 13,561,000
Income Taxes Paid, Net 407,000 4,356,000 14,118,000
Advertising Expense $ 5,546,000 $ 5,558,000 $ 6,868,000
EquityClassOfTreasuryStockLineItems      
Shares Repurchased and Retired 593,404 2,082,535 1,320,182
Remaining Shares In Repurchase Authorizations 0