0001104659-14-059706.txt : 20140813 0001104659-14-059706.hdr.sgml : 20140812 20140812120819 ACCESSION NUMBER: 0001104659-14-059706 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20140628 FILED AS OF DATE: 20140812 DATE AS OF CHANGE: 20140812 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CACHE INC CENTRAL INDEX KEY: 0000350199 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-WOMEN'S CLOTHING STORES [5621] IRS NUMBER: 591588181 STATE OF INCORPORATION: DE FISCAL YEAR END: 1229 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-35865 FILM NUMBER: 141033092 BUSINESS ADDRESS: STREET 1: 256 WEST 38TH STREET CITY: NEW YORK STATE: NY ZIP: 10018 BUSINESS PHONE: 212-575-3200 MAIL ADDRESS: STREET 1: 256 WEST 38TH STREET CITY: NEW YORK STATE: NY ZIP: 10018 FORMER COMPANY: FORMER CONFORMED NAME: ATOURS INC DATE OF NAME CHANGE: 19830518 10-Q 1 a14-13328_110q.htm 10-Q

Table of Contents

 

 

 

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 10-Q

 

(Mark One)

 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended June 28, 2014

 

OR

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the transition period from              to            

 

Commission File Number: 0-10345

 

CACHE, INC.

(Exact name of registrant as specified in its Charter)

 

Delaware

 

59-1588181

(State or other jurisdiction of

 

(IRS Employer Identification No.)

incorporation or organization)

 

 

 

256 West 38th Street, New York, New York

 

10018

(Address of principal executive offices)

 

(zip code)

 

212-575-3200

(Registrant’s telephone number, including area code)

 

 

(Former name, address and former fiscal year, if changed since last report)

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to filing requirements for the past 90 days.  Yes x  No o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes x  No o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definitions of “large accelerated filer,” “accelerated filer,” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

 

Large accelerated filer o

 

Accelerated filer o

 

 

 

Non-accelerated filer o

 

Smaller reporting company x

(Do not check if a smaller reporting company)

 

 

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes o No x

 

As of August 7, 2014, 31,083,159 common shares were outstanding.

 

 

 



Table of Contents

 

CACHE, INC. AND SUBSIDIARIES

 

INDEX

 

PART I. FINANCIAL INFORMATION

3

 

 

 

Item 1.

Condensed Consolidated Financial Statements (unaudited)

3

 

Condensed Consolidated Balance Sheets as of June 28, 2014, December 28, 2013 and June 29, 2013

3

 

Condensed Consolidated Statements of Operations for the twenty-six and thirteen week periods ended June 28, 2014 and June 29, 2013

4

 

Condensed Consolidated Statements of Cash Flows for the twenty-six week periods ended June 28, 2014 and June 29, 2013

6

 

Notes to the Condensed Consolidated Financial Statements

7

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

12

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

19

Item 4.

Controls and Procedures

20

 

 

 

PART II. OTHER INFORMATION

20

 

 

 

Item 1.

Legal Proceedings

20

Item 2.

Unregistered Sale of Equity Securities and Use of Proceeds

20

Item 3.

Defaults Upon Senior Securities

20

Item 4.

Mine Safety Disclosure

20

Item 5.

Other Information

20

Item 6.

Exhibits

20

 

 

SIGNATURES

21

 

2



Table of Contents

 

PART I - FINANCIAL INFORMATION

 

ITEM 1. FINANCIAL STATEMENTS (UNAUDITED)

 

CACHE, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

 

 

 

 

 

As adjusted

 

As adjusted

 

 

 

June 28,
2014

 

December 28,
2013

 

June 29,
2013

 

 

 

(Unaudited)

 

(Audited)

 

(Unaudited)

 

 

 

 

 

(See Note 1)

 

(See Note 1)

 

ASSETS

 

 

 

 

 

 

 

Current assets:

 

 

 

 

 

 

 

Cash and equivalents

 

$

666,000

 

$

4,513,000

 

$

12,853,000

 

Certificates of deposit — restricted

 

 

 

2,250,000

 

Receivables, net

 

3,060,000

 

2,806,000

 

2,299,000

 

Income tax receivable

 

 

 

59,000

 

Inventories, net

 

24,398,000

 

24,941,000

 

20,691,000

 

Prepaid expenses and other current assets

 

1,922,000

 

1,272,000

 

1,679,000

 

Total current assets

 

30,046,000

 

33,532,000

 

39,831,000

 

 

 

 

 

 

 

 

 

Equipment and leasehold improvements, net

 

19,769,000

 

18,221,000

 

19,933,000

 

Intangible assets, net

 

102,000

 

102,000

 

102,000

 

Other assets

 

1,158,000

 

1,384,000

 

636,000

 

 

 

 

 

 

 

 

 

Total assets

 

$

51,075,000

 

$

53,239,000

 

$

60,502,000

 

 

 

 

 

 

 

 

 

LIABILITIES AND STOCKHOLDERS’ EQUITY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Current liabilities:

 

 

 

 

 

 

 

Book overdraft

 

$

1,550,000

 

$

 

$

 

Accounts payable

 

12,224,000

 

10,856,000

 

6,671,000

 

Accrued compensation

 

3,176,000

 

4,317,000

 

3,802,000

 

Accrued liabilities

 

11,135,000

 

11,197,000

 

10,068,000

 

Total current liabilities

 

28,085,000

 

26,370,000

 

20,541,000

 

 

 

 

 

 

 

 

 

Other liabilities

 

7,959,000

 

8,818,000

 

9,508,000

 

 

 

 

 

 

 

 

 

Commitments and contingencies

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

STOCKHOLDERS’ EQUITY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Common stock, par value $.01; authorized, 40,000,000 shares; issued 34,857,023, 25,220,092 and 25,268,260

 

348,000

 

252,000

 

253,000

 

Additional paid-in capital

 

76,445,000

 

60,830,000

 

60,358,000

 

Retained earnings (accumulated deficit)

 

(21,967,000

)

(3,236,000

)

9,637,000

 

Treasury stock 3,682,199 shares, at cost

 

(39,795,000

)

(39,795,000

)

(39,795,000

)

Total stockholders’ equity

 

15,031,000

 

18,051,000

 

30,453,000

 

 

 

 

 

 

 

 

 

Total liabilities and stockholders’ equity

 

$

51,075,000

 

$

53,239,000

 

$

60,502,000

 

 

The accompanying Notes to Condensed Consolidated Financial Statements are an integral part of these statements.

 

3



Table of Contents

 

CACHE, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

FOR THE TWENTY-SIX WEEKS ENDED

(Unaudited)

 

 

 

 

 

As adjusted

 

 

 

June 28,
2014

 

June 29,
2013

 

 

 

 

 

(See Note 1)

 

 

 

 

 

 

 

Net sales

 

$

101,505,000

 

$

113,632,000

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

71,501,000

 

74,254,000

 

 

 

 

 

 

 

Gross profit

 

30,004,000

 

39,378,000

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

Store operating expenses

 

37,815,000

 

36,835,000

 

General and administrative expenses

 

10,104,000

 

9,415,000

 

Employee separation charges

 

409,000

 

2,454,000

 

Total expenses

 

48,328,000

 

48,704,000

 

 

 

 

 

 

 

Operating loss

 

(18,324,000

)

(9,326,000

)

 

 

 

 

 

 

Other income (expense):

 

 

 

 

 

Amortization of deferred financing cost

 

(108,000

)

 

Interest income

 

1,000

 

17,000

 

Interest expense

 

(125,000

)

 

Total other income (expense), net

 

(232,000

)

17,000

 

 

 

 

 

 

 

Loss before income taxes

 

(18,556,000

)

(9,309,000

)

 

 

 

 

 

 

Income tax provision

 

175,000

 

10,124,000

 

 

 

 

 

 

 

Net loss

 

$

(18,731,000

)

$

(19,433,000

)

 

 

 

 

 

 

Basic loss per share

 

$

(0.83

)

$

(1.23

)

 

 

 

 

 

 

Diluted loss per share

 

$

(0.83

)

$

(1.23

)

 

 

 

 

 

 

Basic weighted average shares outstanding

 

22,604,000

 

15,769,000

 

 

 

 

 

 

 

Diluted weighted average shares outstanding

 

22,604,000

 

15,769,000

 

 

The accompanying Notes to Condensed Consolidated Financial Statements are an integral part of these statements.

 

4



Table of Contents

 

CACHE, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

FOR THE THIRTEEN WEEKS ENDED

(Unaudited)

 

 

 

 

 

As adjusted

 

 

 

June 28,
2014

 

June 29,
2013

 

 

 

 

 

(See Note 1)

 

 

 

 

 

 

 

Net sales

 

$

54,101,000

 

$

60,122,000

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

37,029,000

 

37,695,000

 

 

 

 

 

 

 

Gross profit

 

17,072,000

 

22,427,000

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

Store operating expenses

 

19,744,000

 

18,332,000

 

General and administrative expenses

 

4,715,000

 

4,734,000

 

Employee separation charges

 

275,000

 

956,000

 

Total expenses

 

24,734,000

 

24,022,000

 

 

 

 

 

 

 

Operating loss

 

(7,662,000

)

(1,595,000

)

 

 

 

 

 

 

Other income (expense):

 

 

 

 

 

Amortization of deferred financing cost

 

(54,000

)

 

Interest income

 

 

9,000

 

Interest expense

 

(83,000

)

 

Total other income (expense)

 

(137,000

)

9,000

 

 

 

 

 

 

 

Loss before income taxes

 

(7,799,000

)

(1,586,000

)

 

 

 

 

 

 

Income tax provision

 

125,000

 

20,000

 

 

 

 

 

 

 

Net loss

 

$

(7,924,000

)

$

(1,606,000

)

 

 

 

 

 

 

Basic loss per share

 

$

(0.33

)

$

(0.09

)

 

 

 

 

 

 

Diluted loss per share

 

$

(0.33

)

$

(0.09

)

 

 

 

 

 

 

Basic weighted average shares outstanding

 

24,078,000

 

18,378,000

 

 

 

 

 

 

 

Diluted weighted average shares outstanding

 

24,078,000

 

18,378,000

 

 

The accompanying Notes to Condensed Consolidated Financial Statements are an integral part of these statements.

 

5



Table of Contents

 

CACHE, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

FOR THE TWENTY-SIX WEEKS ENDED

(Unaudited)

 

 

 

 

 

As adjusted

 

 

 

June 28,
2014

 

June 29,
2013

 

 

 

 

 

(See Note 1)

 

CASH FLOWS FROM OPERATING ACTIVITIES:

 

 

 

 

 

 

 

 

 

 

 

Net loss

 

$

(18,731,000

)

$

(19,433,000

)

Adjustments to reconcile net loss to net cash used in operating activities:

 

 

 

 

 

Depreciation and amortization

 

3,391,000

 

3,371,000

 

Stock-based compensation

 

564,000

 

214,000

 

Deferred income taxes

 

 

10,078,000

 

Gift card breakage

 

(112,000

)

(120,000

)

Amortization of deferred income for co-branded credit card

 

(123,000

)

(275,000

)

Amortization of deferred rent

 

(835,000

)

(681,000

)

Amortization of deferred financing costs

 

108,000

 

 

Change in assets and liabilities:

 

 

 

 

 

Decrease (increase) in receivables and income tax receivables

 

(254,000

)

26,000

 

Decrease (increase) in inventories

 

543,000

 

(182,000

)

Decrease (increase) in prepaid expenses and other current assets

 

(475,000

)

218,000

 

Increase (decrease) in accounts payable

 

1,368,000

 

(5,726,000

)

Increase (decrease) in accrued liabilities, accrued compensation and other liabilities

 

(1,718,000

)

1,426,000

 

 

 

 

 

 

 

Net cash used in operating activities

 

(16,274,000

)

(11,084,000

)

 

 

 

 

 

 

CASH FLOWS FROM INVESTING ACTIVITIES:

 

 

 

 

 

 

 

 

 

 

 

Purchase of marketable securities

 

 

(2,000,000

)

Maturities of marketable securities

 

 

5,013,000

 

Certificates of deposit-restricted

 

 

750,000

 

Purchase of equipment and leasehold improvements

 

(4,379,000

)

(3,570,000

)

 

 

 

 

 

 

Net cash provided by (used in) investing activities

 

(4,379,000

)

193,000

 

 

 

 

 

 

 

CASH FLOWS FROM FINANCING ACTIVITIES:

 

 

 

 

 

 

 

 

 

 

 

Book overdraft

 

1,550,000

 

 

Proceeds from the issuance of common stock

 

16,331,000

 

13,419,000

 

Payment of issuance costs

 

(1,075,000

)

(1,804,000

)

Payments of deferred financing costs

 

 

(231,000

)

 

 

 

 

 

 

Net cash provided by financing activities

 

16,806,000

 

11,384,000

 

 

 

 

 

 

 

Net increase (decrease) in cash and equivalents

 

(3,847,000

)

493,000

 

Cash and equivalents, at beginning of period

 

4,513,000

 

12,360,000

 

Cash and equivalents, at end of period

 

$

666,000

 

$

12,853,000

 

 

 

 

 

 

 

Supplemental disclosure of cash flow information:

 

 

 

 

 

Income taxes paid

 

$

125,000

 

$

115,000

 

Interest paid

 

$

125,000

 

$

 

Supplemental disclosure of non-cash investing and financing activities:

 

 

 

 

 

Accrued fixed asset additions

 

$

822,000

 

$

321,000

 

Accrued issuance costs

 

$

166,000

 

$

148,000

 

Accrued deferred financing costs

 

$

 

$

136,000

 

Prepaid stock-based compensation

 

$

57,000

 

$

24,000

 

 

The accompanying Notes to Condensed Consolidated Financial Statements are an integral part of these statements.

 

6



Table of Contents

 

CACHE, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

 

1.              BASIS OF PRESENTATION

 

References to the “Company,” “we,” “us,” or “our” mean Cache, Inc., together with its wholly-owned subsidiaries, except as expressly indicated or unless the context otherwise requires. Under the trade name “Cache”, we operated 239 women’s apparel specialty stores, as of June 28, 2014.

 

The following unaudited condensed consolidated financial statements have been prepared pursuant to the rules and regulations of the Securities and Exchange Commission. Certain information and note disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to those rules and regulations, although the Company believes that the disclosures made are adequate to make the information not misleading. The accompanying condensed consolidated financial statements include all known adjustments necessary for a fair presentation of the results of the interim periods as required by accounting principles generally accepted in the United States. These adjustments consist primarily of normal recurring accruals and estimates that impact the carrying value of assets and liabilities. Actual results may materially differ from these estimates.

 

These condensed consolidated financial statements should be read in conjunction with the Company’s audited consolidated financial statements for the year ended December 28, 2013, which are included in the Company’s Annual Report on Form 10-K with respect to such period filed with the Securities and Exchange Commission. All significant intercompany accounts and transactions have been eliminated. The December 28, 2013 condensed consolidated balance sheet amounts are derived from the Company’s audited consolidated financial statements as adjusted (see below).

 

The Company’s fiscal year (“fiscal year” or “fiscal”) refers to the applicable 52- or 53-week period. The year ended December 28, 2013 (“fiscal 2013”) was a 52-week year and the year ending January 3, 2015 (“fiscal 2014”) is a 53-week year.

 

Change in Accounting Principle

 

Effective December 29, 2013, the Company elected to change its method of accounting for its retail finished goods inventory from the retail inventory method (“RIM”) to the lower of cost or market, with cost being determined on the first-in, first-out method. The RIM method does not track the valuation of inventory and the cost of goods sold at the individual item level, but instead calculates the valuation of inventory and cost of goods sold by applying a calculated cost to retail relationship to the value of retail inventories and cost of goods sold. The Company believes the method of tracking cost at the individual item level is a preferable method as it matches the actual merchandise costs with the respective revenues and is the method most widely used in the retail industry.  The cumulative effect of this accounting change as of December 30, 2012 was decreases of $737,000 in inventories, $123,000 in deferred tax assets and $860,000 in retained earnings.  The effect of this accounting change on the Company’s financial statements as of December 28, 2013 and June 29, 2013 and for the 26- and 13-week periods ended June 29, 2013 are presented below.

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

December 28,

 

 

 

December 28,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Balance Sheets

 

 

 

 

 

 

 

 

 

 

 

 

 

Inventories, net

 

$

23,673,000

 

$

1,268,000

 

$

24,941,000

 

$

19,321,000

 

$

1,370,000

 

$

20,691,000

 

Retained earnings (accumulated deficit)

 

(4,504,000

)

1,268,000

 

(3,236,000

)

8,267,000

 

1,370,000

 

9,637,000

 

 

 

 

26-Weeks ended

 

13-Weeks ended

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Operations

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

$

76,361,000

 

$

(2,107,000

)

$

74,254,000

 

$

39,247,000

 

$

(1,552,000

)

$

37,695,000

 

Loss before income taxes

 

(11,416,000

)

2,107,000

 

(9,309,000

)

(3,138,000

)

1,552,000

 

(1,586,000

)

Income tax provision

 

10,247,000

 

(123,000

)

10,124,000

 

20,000

 

 

20,000

 

Net loss

 

(21,663,000

)

2,230,000

 

(19,433,000

)

(3,158,000

)

1,552,000

 

(1,606,000

)

Basic loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

Diluted loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

 

7



Table of Contents

 

 

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Cash Flows

 

 

 

 

 

 

 

Net loss

 

$

(21,633,000

)

$

2,230,000

 

$

(19,433,000

)

Deferred income taxes

 

10,201,000

 

(123,000

)

10,078,000

 

Inventories

 

1,925,000

 

(2,107,000

)

(182,000

)

 

2.              STOCK-BASED COMPENSATION

 

Stock-based compensation expense for all stock-based awards programs, including grants of stock options, is recorded in accordance with “Compensation-Stock Compensation”, Topic 718 of the Financial Accounting Standards Board Accounting Standards Codification (“FASB ASC”). During the 26- and 13-week periods ended June 28, 2014, the Company recognized approximately $564,000 and $254,000, respectively, in stock-based compensation expense, and for the same periods ended June 29, 2013, the Company recognized approximately $214,000 and $77,000, respectively.  The grant date fair value for stock options is calculated using the Black-Scholes option valuation model.

 

On February 5, 2013, the Company granted Jay Margolis (its Chief Executive Officer and Chairman of the Board) time-based stock options to purchase 1,000,000 shares of the Company’s common stock at an exercise price of $3.34 which had a weighted average grant date fair value of $1.15.  These options vest in equal installments on the first, second and third anniversary of the grant date. No excess tax benefits were recognized from the exercise of stock options during the second fiscal quarters of 2014 and 2013.

 

The following assumptions were used during the 26-week period ended June 29, 2013:

 

Expected dividend rate

 

$

0.00

 

Expected volatility

 

50.72

%

Risk free interest rate

 

0.41

%

Expected lives (years)

 

3.00

 

 

During the first quarter of fiscal 2014 and fiscal 2013, 24,000 and 40,000 shares, respectively were issued as part of the independent board members’ compensation. The total fair value of the issued common stock in fiscal 2014 was approximately $115,000, of which approximately $58,000 and $29,000 were included in stock-based compensation expense for the 26- and 13-week periods ended June 28, 2014, respectively.  The total fair value of the issued common stock in fiscal 2013 was approximately $94,000, of which approximately $71,000 and $12,000 were included in stock-based compensation expense for the 26 and 13-week periods ended June 29, 2013, respectively. The remaining cost is recognized over the remainder of the respective fiscal years.

 

During the 26- and 13-week periods ended June 28, 2014, the Company granted restricted stock awards representing 348,000 and 277,000 shares, respectively, of the Company’s common stock, which had a weighted-average grant date fair value of $3.74 and $3.29 per share, respectively. A portion of these restricted stock awards will vest over a three-year period contingent on the Company meeting performance goals, and a portion will vest over the requisite service period.  Comparatively, during the 26- and 13-week period ended June 29, 2013, the Company granted restricted stock awards representing 255,000 shares of the Company’s common stock, which had a weighted-average grant date fair value of $3.81 per share. These restricted shares will contingently vest over a three-year period based on the Company meeting performance goals, and a portion will vest over the requisite service period.

 

3.              BASIC AND DILUTED EARNINGS PER SHARE

 

Basic loss per share has been computed based upon the weighted average of common shares outstanding. Diluted loss per share also includes the dilutive effect of potential common shares (dilutive stock options and unvested restricted stock awards) outstanding during the period. Loss per common share has been computed as follows:

 

 

 

26-Weeks Ended

 

13-Weeks Ended

 

 

 

June 28,

 

June 29,

 

June 28,

 

June 29,

 

 

 

2014

 

2013

 

2014

 

2013

 

Net loss

 

$

(18,731,000

)

$

(19,433,000

)

$

(7,924,000

)

$

(1,606,000

)

Basic weighted number of average shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

Incremental shares from assumed issuances of stock options and restricted stock awards

 

 

 

 

 

Diluted weighted average number of shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

 

 

 

 

 

 

 

 

 

 

Net loss per share - Basic

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

- Diluted

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

 

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Options and unvested restricted common shares totaling 1,657,666 and 1,696,383 shares were excluded from the computation of diluted loss per share for the 26- and 13-week periods ended June 28, 2014 and June 29, 2013, respectively, due to the net loss incurred by the Company.

 

4.              RECENT ACCOUNTING PRONOUNCEMENTS

 

In April 2014 the FASB issued Accounting Standards Update (“ASU”) 2014-08, Presentation of Financial Statements (Topic 205) and Property, Plant, and Equipment (Topic 360). ASU 2014-08 changes the criteria for reporting discontinued operations for all public and nonpublic entities. The amendments also require new disclosures about discontinued operations and disposals of components of an entity that do not qualify for discontinued operations reporting. For public companies, the amendments are effective prospectively for interim and annual reporting periods beginning after December 15, 2014. The Company does not expect the adoption of ASU 2014-08 to have a material impact on its consolidated financial statements.

 

In May 2014, the FASB issued ASU No. 2014-09 Revenue from Contracts with Customers which outlines a single comprehensive model for entities to use in accounting for revenue from contracts with customers and supersedes most current revenue recognition guidance in FASB ASC 605, Revenue Recognition, including industry-specific guidance.  The ASU is based on the principle that an entity should recognize revenue to depict the transfer of goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services.  The ASU also requires additional disclosure about the nature, amount, timing and uncertainty of revenue and cash flows arising from customer contracts, including significant judgments and changes in judgments and assets recognized from costs incurred to fulfill a contract.  The ASU becomes effective for annual reporting periods beginning after December 15, 2016, including interim periods within that reporting period; early adoption is not permitted.  Entities have the option of using either a full retrospective or a modified retrospective approach for the adoption of the new standard.  The Company is currently assessing the impact that this standard will have on its consolidated financial statements.

 

5.              FAIR VALUE MEASUREMENT

 

The carrying amounts of certificates of deposit and accounts receivable approximate their estimated fair values due to their short-term nature.

 

6.              RECEIVABLES

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Construction allowances

 

$

205,000

 

$

430,000

 

$

216,000

 

Third party credit cards

 

1,535,000

 

1,674,000

 

1,404,000

 

Other

 

1,320,000

 

702,000

 

679,000

 

 

 

$

3,060,000

 

$

2,806,000

 

$

2,299,000

 

 

At June 29, 2013, the Company’s income tax receivable was $59,000 which resulted from quarterly federal and state tax estimated payments.

 

7.              INVENTORIES

 

 

 

 

 

As adjusted

 

As adjusted

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

 

 

 

 

(See Note 1)

 

(See Note 1)

 

Raw materials

 

$

1,269,000

 

$

935,000

 

$

1,843,000

 

Work in process

 

1,906,000

 

1,918,000

 

1,839,000

 

Finished goods

 

21,223,000

 

22,088,000

 

17,009,000

 

 

 

$

24,398,000

 

$

24,941,000

 

$

20,691,000

 

 

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As discussed in Note 1 the Company changed its accounting for finished goods inventory to the lower of cost or market, with cost being determined on the first-in, first-out method. Inventories other than finished goods at retail stores, called production inventory, primarily consists of piece goods, trim and work-in-process. The Company has historically and continues to value its production inventory at the lower of cost or market value using first-in-first-out method. Market value is determined for our finished goods inventory and production inventory based on an estimate of the net realizable value. The Company determines net realizable value based on an analysis of historical results, age, obsolescence, potential use, market conditions, and estimates regarding future selling prices. Based on this analysis, the Company records an adjustment for any decline in its value. If the actual results or conditions are different than those projected by management, future period gross margin rates may be unfavorably or favorably affected.

 

8.              EQUIPMENT AND LEASEHOLD IMPROVEMENTS

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Leasehold improvements

 

$

45,930,000

 

$

45,899,000

 

$

47,363,000

 

Furniture, fixtures and equipment

 

41,754,000

 

40,931,000

 

40,591,000

 

 

 

87,684,000

 

86,830,000

 

87,954,000

 

Less: accumulated depreciation and amortization

 

(67,915,000

)

(68,609,000

)

(68,021,000

)

 

 

$

19,769,000

 

$

18,221,000

 

$

19,933,000

 

 

9.              ACCRUED LIABILITIES

 

 

 

June 28,

 

December 28,

 

June29,

 

 

 

2014

 

2013

 

2013

 

Gift cards, merchandise credit cards and other customer deposits and credits

 

$

4,421,000

 

$

4,670,000

 

$

4,054,000

 

Operating expenses

 

3,008,000

 

2,395,000

 

2,600,000

 

Taxes, including income taxes

 

1,730,000

 

2,418,000

 

1,874,000

 

Group insurance

 

568,000

 

556,000

 

572,000

 

Sales return reserve

 

336,000

 

660,000

 

432,000

 

Fixed asset additions

 

822,000

 

262,000

 

321,000

 

Deferred income — co-branded credit card program

 

250,000

 

236,000

 

215,000

 

 

 

$

11,135,000

 

$

11,197,000

 

$

10,068,000

 

 

10.       OTHER LIABILITIES

 

 

 

June 28,
2014

 

December 28,
2013

 

June 29,
2013

 

Deferred rent

 

$

6,790,000

 

$

7,525,000

 

$

7,891,000

 

Deferred income — co-branded credit card program

 

1,169,000

 

1,218,000

 

1,218,000

 

Severance

 

 

75,000

 

399,000

 

 

 

$

7,959,000

 

$

8,818,000

 

$

9,508,000

 

 

11.       CREDIT FACILITY

 

The Company had a $3.0 million credit facility with Bank of America which expired on May 31, 2013. The agreement allowed the Company to issue letters of credit up to $3.0 million and was collateralized by a security interest in various certificates of deposit held by the Company.  These certificates of deposit collateralized against this line of credit are reported as restricted funds.

 

On July 25, 2013, the Company entered into a new five year credit agreement (“Credit Agreement”) with Wells Fargo Bank, National Association (the “Bank”). The credit facility (“Credit Facility”) provides the Company with a line of credit of $25.0 million for short term borrowings and letters of credit with a sublimit of $5.0 million. Short term borrowings are limited to the lower of the line of credit available or the borrowing base available as defined in the Credit Agreement.  Borrowings under the Credit Facility are due and payable on July 25, 2018, at which time the facility terminates.

 

Borrowings under the Credit Facility bear interest, at the Company’s option, either at the London interbank offering rate (“LIBOR”) Margin or at the Base Rate Margin. LIBOR Margin is equal to LIBOR plus a margin of 1.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base. When the average daily availability is less than 50% of the

 

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borrowing base, the LIBOR Margin is equal to LIBOR plus a margin of 1.75% per annum. Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base.  When the average daily availability is less than 50% the Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.75% per annum.  The base rate, as defined in the Credit Agreement, is a fluctuating rate per annum equal to the highest of (a) the U. S. federal funds rate plus a margin of 0.50% per annum, (b) the adjusted LIBOR rate plus a margin of 1.00% or (c) the Bank prime rate in effect at that time.  The Company had outstanding letters of $1.2 million under its Credit Facility and no borrowings as of June 28, 2014.

 

The obligations of the Company under the Credit Facility are secured by liens on all assets of the Company. The Credit Agreement contains various customary covenants, including, but not limited to, limitations on indebtedness, liens, investments, dividends or other capital distributions, purchases or redemptions of stock, sales of assets or subsidiary stock, transactions with affiliates, line of business and accelerated payments of certain obligations and a minimum availability requirement.

 

The Credit Agreement contains  provisions for events of default customary with similar financings. Upon the occurrence of an event of default, the outstanding obligations under the Credit Facility may be accelerated and become due and payable immediately. In addition, if a certain change of control event occurs with respect to any loan party, the Lenders have the right to require the Company to repay any outstanding loans under the Credit Facility.

 

12.      INCOME TAXES

 

The Company accounts for income taxes in accordance with “Income Taxes”, Topic 740 of the FASB ASC. This guidance requires the Company to recognize deferred tax liabilities and assets for the expected future tax consequences of events that have been recognized in the Company’s financial statements or tax returns. Under this method, deferred tax liabilities and assets are determined based on the difference between the financial statement carrying amounts and tax bases of assets and liabilities, using applicable tax rates for the years in which the differences are expected to reverse.  At December 28, 2013, the Company had federal net operating loss (“NOL”) carryforwards of approximately $55.7 million, expiring from 2030 to 2033 of which the Company recorded a full valuation allowance against the deferred tax assets associated with these NOL carryforwards.  During the 26-week period ended June 28, 2014 the Company recorded no income tax benefit as a result of a full valuation allowance.  During the 26-week period ended June 29, 2013, the Company recorded income tax expense of $10.1 million as a result of a full valuation allowance recorded against its remaining net deferred tax assets.  Federal valuation allowances totaled $30.2 million, $23.9 million and $19.6 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively.  State valuation allowances totaled $5.3 million, $4.5 million and $3.9 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively. The valuation allowances represent full valuation allowances for the possible non-utilization of net operating loss carry-forwards which may not be realized in future periods before they expire.

 

When tax contingencies become probable, a liability for the contingent amount is estimated based upon the Company’s best estimation of the potential exposures associated with the timing and amount of deductions, as well as various tax filing positions. As of June 28, 2014, December 28, 2013 and June 29, 2013, the Company had no reserve recorded for potential tax contingencies.

 

13.   RIGHTS AND PUBLIC OFFERING OF STOCK

 

On May 9, 2014, the Company commenced a rights offering with its existing stockholders, which granted each stockholder the right to  receive approximately 34.2%  of a whole subscription right for each share of common stock owned by such stockholder.  Each whole subscription right entitled the stockholder to purchase one share of common stock at $2.00 per share.  The rights offering resulted in the issuance of 115,377 shares of the Company’s common stock for gross proceeds of $230,754. On June 2, 2014, the Company raised approximately $15.0 million (net of $1.1 million in commission and other offering expenses) from the sale of 9.2 million shares of the Company’s common stock in an underwritten public offering at a price per share of $1.75.   A portion of the proceeds of the public offering (approximately $10.4 million) were used to pay down borrowings under the Credit Facility.

 

14.   COMMITMENTS AND CONTINGENCIES

 

The Company is exposed to a number of asserted and unasserted potential claims. Management does not believe it is reasonably possible that resolution of these matters will result in a material loss.

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

 

Except for the historical information contained in this Form 10-Q, the matters addressed herein are forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended (the “Securities Act”), and Section 21E of the Securities Exchange Act of 1934, as amended (the “Exchange Act”).  Forward-looking statements represent the Company’s expectation or belief concerning future events.  Without limiting the foregoing, the words “believes,” “thinks,” “anticipates,” “estimates,” “plans,” “expects” and similar expressions are intended to identify forward-looking statements.  The Company cautions that forward-looking statements are subject to risks, uncertainties, assumptions and other important factors that could cause actual results to differ materially, or otherwise, from those expressed or implied in the forward-looking statements, including, without limitation, macroeconomic factors that have affected the retail sector, including changes in national, regional and local economic conditions, employment levels and consumer spending patterns, factors specific to our Company and merchandise, such as demand for our merchandise, markdowns, our ability to successfully implement our business strategy and to integrate new members of management and the other risks detailed from time to time in the Company’s most recent Form 10-K, Forms 10-Q and other reports filed with the Securities and Exchange Commission. Any weakening of the economy generally or in a number of our markets, or in demand for our merchandise specifically, could adversely affect our financial position and results of operations, cause us to slow our re-modeling of existing locations or cause us to increase store closings. Other unknown or unpredictable factors also could harm the Company’s business, financial condition and results.  Consequently, there can be no assurance that actual results or developments anticipated by the Company will be realized or, even if substantially realized, that they will have the expected consequences to, or effects on, the Company.  The Company undertakes no obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise, except to the extent required by applicable securities laws.

 

Overview

 

On May 9, 2014, the Company commenced a rights offering with its existing stockholders, which resulted in the issuance of 115,377 shares of the Company’s common stock for gross proceeds of $230,754. On June 2, 2014, the Company raised approximately $15.0 million (net of $1.1 million in commission and other offering expenses) from the sale of 9.2 million shares of the Company’s common stock in an underwritten public offering at a price per share of $1.75.  A portion of the proceeds of the public offering (approximately $10.4 million) were used to pay down borrowings under the Credit Facility.

 

As part of the Company’s real estate optimization strategy, the Company intends to accelerate its plan to close unproductive stores with the majority of them to close in the first quarter of fiscal 2015.  The Company expects to generate cost savings of approximately $3.0 million related to these store closures in fiscal 2015 with savings expected to approximate $3.8 million on an annualized basis.

 

In addition, the Company has implemented other cost saving measures including, a reduction in corporate overhead and operational expenses.

 

In March 2014, the Company launched “Treasured”, a new loyalty program which allows its customers to earn reward points based on dollar purchases.  This program replaced our previous program “Accents” which provide a 5% lifetime discount one a customer spent $350. We believe that Treasured is a more effective program to generate incremental sales and customer loyalty.

 

RESULTS OF OPERATIONS

 

The following table sets forth our results of operations for the 26-week and 13-week periods ended June 28, 2014 and June 29, 2013, respectively, expressed as a percentage of net sales.

 

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Table of Contents

 

 

 

26-Weeks Ended

 

13-Weeks Ended

 

 

 

 

 

As adjusted (1)

 

 

 

As adjusted (1)

 

 

 

June 28,

 

June 29,

 

June 28,

 

June 29,

 

 

 

2014

 

2013

 

2014

 

2013

 

Sales

 

100.0

%

100.0

%

100.0

%

100.0

%

Cost of sales

 

70.4

 

65.3

 

68.4

 

62.7

 

Gross profit

 

29.6

 

34.7

 

31.6

 

37.3

 

Store operating expenses

 

37.3

 

32.4

 

36.5

 

30.5

 

General and administrative expenses

 

10.0

 

8.3

 

8.7

 

7.9

 

Employee separation charges

 

0.4

 

2.2

 

0.5

 

1.6

 

Operating loss

 

(18.1

)

(8.2

)

(14.1

)

(2.7

)

Other income (expense)

 

(0.1

)

0.0

 

(0.3

)

0.0

 

Loss before income taxes

 

(18.2

)

(8.2

)

(14.4

)

(2.7

)

Income tax provision

 

0.2

 

8.9

 

0.2

 

0.0

 

Net loss

 

(18.4

)%

(17.1

)%

(14.6

)%

(2.7

)%

 


(1) As more fully described in Note 1 to the Condensed Consolidated Financial Statements, the Company changed its method of accounting for retail finished goods inventory effective December 29, 2013.  Amounts throughout management’s discussion and analysis of financial condition and results of operations have been adjusted based on this change.

 

We use a number of key indicators of financial condition and operating performance to evaluate the performance of our business, some of which are set forth in the following table:

 

 

 

26-Weeks Ended

 

13-Weeks Ended

 

 

 

June 28,

 

June 29,

 

June 28,

 

June 29,

 

 

 

2014

 

2013

 

2014

 

2013

 

Total store count, at end of period

 

239

 

250

 

239

 

250

 

Net sales decrease

 

(10.7

)%

(3.4

)%

(10.0

)%

(2.5

)%

Comparable store sales increase (decrease)

 

(8.9

)%

(0.4

)%

(8.8

)%

0.5

%

Average sales per transaction increase (decrease)

 

11.9

%

(9.6

)%

14.1

%

(10.4

)%

Average number of transactions increase (decrease)

 

(20.4

)%

10.2

%

(21.6

)%

12.2

%

Net sales per average square foot

 

$

184

 

$

197

 

$

98

 

$

103

 

Total square footage, at end of period (in thousands)

 

484

 

507

 

484

 

507

 

 

Net Sales

 

During the 26-week period ended June 28, 2014, net sales decreased to $101.5 million from $113.6 million, a decrease of $12.1 million, or 10.7% as compared to the same 26-week period last year.  This reflects a decrease in non-comparable store sales of approximately $2.6 million and a decrease in comparable stores sales of $ 9.2 million, or 8.9%. Included in comparable store sales are e-commerce sales of $11.3 million during the current 26-week period, as compared to $12.0 million in the prior year period. The decrease in net sales at our stores during the 26- week period reflected a 20.4% decrease in the number of sales transactions, partially offset by an 11.9% increase in average dollars per transaction. We believe the decrease in mall traffic, adverse weather conditions earlier in the year, along with underperforming merchandise in our sportswear and accessory categories contributed to the decline in sales during the 26-week period ended June 28, 2014 as compared to the comparable period last year.

 

During the 13-week period ended June 28, 2014, net sales decreased to $54.1 million from $60.1 million, a decrease of $6.0 million, or 10.0%, as compared to the same 13-week period last year.  This reflects a decrease in non-comparable store sales of approximately $1.1 million and a decrease in comparable store sales of $5.0 million or 8.8%.  Included in comparable store sales are e-commerce sales of $6.2 million during the 13-week period ended June 28, 2014, as compared to $6.6 million in the prior year period.  The decrease in net sales at our stores for the quarter reflected a 21.6% decrease in the number of sales transactions and a 14.1% increase in average dollars per transaction.

 

Gross Profit

 

Gross profit during the 26-week period ended June 28, 2014 decreased to $30.0 million from $39.4 million, a decrease of $9.4 million, or 23.8%, as compared to the same 26-week period last year. This decrease was driven by a reduction in gross margin percentage and a decrease in net sales as discussed above.   As a percentage of net sales, gross profit decreased to 29.6% from 34.7% for the current 26-week period, as compared to the prior year period, primarily due a decrease in the initial markup and the increase in occupancy cost, coupled with reduced sales over the comparable period last year.  We believe that the decrease in mall traffic, adverse weather

 

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Table of Contents

 

conditions earlier in the year, along with underperforming merchandise in our sportswear and accessory categories resulted in the decline in gross profit. There was no geographic concentration of markdowns in the 26-week period ended June 29, 2013 or June 28, 2014.

 

Gross profit during the 13-week period ended June 28, 2014 decreased to $17.1 million from $22.4 million, a decrease of $5.3 million, or 23.9%, as compared to the same 13-week period last year. This decrease was driven by a reduction in gross margin percentage and a decrease in net sales as discussed above.   As a percentage of net sales, gross profit decreased to 31.6% from 37.3% for the current 13-week period, as compared to the prior year period, primarily due a decrease in the initial markup and the increase in occupancy costs, coupled with reduced sales over the comparable period last year.  We believe that the decrease in mall traffic along with underperforming merchandise in our sportswear and accessory categories resulted in the decline in gross profit

 

Store Operating Expenses

 

During the 26-week period ended June 28, 2014, store operating expenses increased to $37.8 million from $36.8 million, an increase of $980,000, or 2.7%, as compared to the same 26-week period last year. Store operating expenses increased primarily due to an increase in marketing expenses of $946,000, an increase in health insurance expense of $184,000 and a net decrease in other store expenses of $150,000. The increase in marketing expense was largely due to the costs incurred related to the Company’s new loyalty program. The increase in health insurance was primarily due to increased health insurance claims. As a percentage of net sales for the 26-week period ended June 28, 2014, store operating expenses increased to 37.3% from 32.4% as compared to the prior year period, primarily due to the decrease in net sales and to a lesser extent the increase in store expenses.

 

During the 13-week period ended June 28, 2014, store operating expenses increased to $19.7 million from $18.3 million, an increase of $1.4 million, or 7.7%, as compared to the same 13-week period last year. Store operating expenses increased primarily due to an increase in marketing expense of $1.2 million, an increase in health insurance expense of $316,000 and a net decrease in other store expenses of $148,000. The increase in marketing expense was largely due to the costs incurred related to the Company’s new loyalty program.  The increase in health insurance was a result of an increase in health insurance claims. As a percentage of net sales, for the fiscal 2014 13-week period, store operating expenses increased to 36.5% from 30.5%, as compared to the prior year period, primarily due to the decrease in net sales and to a lesser extent the increase in store expenses.

 

We did not perform impairment testing during the 26-week period ended June 28, 2014. We have closed and also impaired the assets of our underperforming stores over the past several years. We believe the results of our fourth quarter, which is typically more profitable, should be considered when performing impairment tests.

 

General and Administrative Expenses

 

During the 26-week period ended June 28, 2014, general and administrative expenses increased to $10.1 million from $9.4 million, an increase of $689,000, or 7.3% compared to the same 26-week period last year, largely due to an increase in payroll and payroll related expenses of $713,000.  As a percentage of net sales, general and administrative expenses increased to 10.0% from 8.3%, primarily due to the increase in general and administrative expense and due to the decrease in net sales.

 

During the 13-week period ended June 28, 2014, general and administrative expenses were approximately the same ($4.7 million) as compared to the same 13-week period last year.  As a percentage of net sales, general and administrative expenses increased to 8.7% from 7.9%, primarily due to the decrease in net sales.

 

Employee Separation Charges

 

Employee separation charges incurred during the 26-week period ended June 28, 2014 were $409,000, a decrease from $2.5 million as compared to the same 26-week period last year attributable to the severance accrual of $1.5 million in connection with the separation agreement with the Company’s former Chief Executive Officer as well as severance for other corporate employees, during the 26-week period ended June 29, 2013.

 

Employee separation charges during the 13-week period ended June 28, 2014 were $275,000, a decrease from $956,000 as compared to the same 13-week period last year due to the decrease in severance for corporate employees.

 

Other Income/Expense

 

During the 26-week period ended June 28, 2014, we recorded other expense of $232,000, as compared to other income of $17,000 in the same 26-week period in fiscal 2013, an expense increase of $249,000 as compared to the same 26-week period last year. This increase was primarily due to interest expense of $125,000 in connection with our short term bank borrowings and amortization of deferred financing costs of $108,000.

 

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During the 13-week period ended June 28, 2014, we recorded other expense of $137,000, as compared to other income of $9,000 in fiscal 2013, an expense increase of $146,000 as compared to the same 13-week period last year. This increase was primarily due to interest expense of $83,000 in connection with our short term bank borrowings and amortization of deferred financing costs of $54,000.

 

Income Taxes

 

During the 26-week period ended June 28, 2014, an income tax provision of $175,000 was recorded as compared to an income tax provision of $10.1 million for the same 26-week period last year. During the 26-week period ended June 29, 2013 as a result of the cumulative losses incurred over the past few years and the uncertainty of executing a turn around, the Company recorded a full valuation allowance against the remaining net deferred tax assets.

 

During the 13-week period ended June 28, 2014 and June 29, 2013, the Company recorded income tax provisions of $125,000 and $20,000, respectively.

 

Net Loss

 

As a result of the factors discussed above, the Company recorded a net loss of $18.7 million and $7.9 million for the 26- and 13-week periods ended June 28, 2014, respectively. Comparatively, the Company recorded net loss of $19.4 million and $1.6 million during the 26- and 13-week periods ended June 29, 2013, respectively.

 

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LIQUIDITY AND CAPITAL RESOURCES

 

Our cash requirements are primarily for funding operations and remodeling of existing stores. We have satisfied our cash requirements principally through capital raised from our public offerings, borrowings under the Credit Facility, and cash flow from operations. At June 28, 2014, we had working capital of approximately $2.0 million.

 

The following table sets forth our cash flows for the periods indicated:

 

 

 

26 Weeks Ended

 

 

 

June 28,
2014

 

June 29,
2013

 

Net cash used in operating activities

 

$

(16,274,000

)

$

(11,084,000

)

Net cash provided by (used in) investing activities

 

(4,379,000

)

193,000

 

Net cash provided by financing activities

 

16,806,000

 

11,384,000

 

Net increase (decrease) in cash and equivalents

 

$

(3,847,000

)

$

493,000

 

 

Cash used in operating activities during the 26-week period ended June 28, 2014 of $16.3 million was primarily due to the net loss of $18.7 million and  a decrease in accrued liabilities of $2.0 million, partially offset by depreciation and amortization of $3.4 million and an increase in accounts payable of $1.4 million. The decrease in accrued liabilities was primarily due to severance payments which were accrued at year end.  The increase in accounts payable was due to the timing of inventory receipts.

 

The Company’s inventory turnover rate decreased approximately 18.2% during the 26-week period ended June 28, 2014 as compared to the comparable period in fiscal 2013. The Company’s days sell through was approximately 63 days during the 26-week period ended June 28, 2014 as compared to 51 days in the comparable period in fiscal 2013. The Company’s inventory as of June 28, 2014 was approximately $3.7 million higher than inventory as of June 29, 2013.  Increased inventory value is a result of an increase in the mix of dress inventory this year and an unusually low inventory last year given the efforts to liquidate non-performing inventory in fiscal 2013.  The decrease in our inventory turnover rate and the increase in our days sell through were primarily due to lower promotional activity as compared to last year. Our markdown rate has declined in the current 26-week period as compared to the comparable period last year. We anticipate that our markdown rate will continue to decline as the merchandise and inventory strategy being implemented continues to take effect.  Nevertheless, we expect markdowns to continue to put pressure on our working capital.

 

During the 26-week period ended June 28, 2014, cash used in investing activities was $4.4 million as compared to cash provided by investing activities of $193,000 during the 26-week period ended June 29, 2013. The purchases of equipment and leasehold improvements of $4.4 million was primarily used for remodeling stores. Projected capital expenditures for fiscal 2014 to remodel existing stores and open approximately three outlet stores are approximately $6.0 to $7.0 million.

 

Cash provided by financing activities during the 26-week period ended June 28, 2014 were $16.8 million as compared to $11.4 million from financing activities during the 26-week period ended June 29, 2013. During 2014, we raised net proceeds of $15.1 million from the issuance of common stock primarily in the public offering.

 

On July 25, 2013, the Company entered into the Credit Agreement. The Credit Facility pursuant to the Credit Agreement provides the Company with a line of credit of $25.0 million for short term borrowings and letters of credit with a sublimit of $5 million. Short term borrowings are limited to the lower of the line of credit available or the borrowing base available as defined in the Credit Agreement. Borrowings under the Credit Facility are due and payable on July 25, 2018, at which time the facility terminates.

 

Borrowings under the Credit Facility bear interest, at the Company’s option, either at the London interbank offering rate (“LIBOR”) Margin or at the Base Rate Margin. LIBOR Margin is equal to LIBOR plus a margin of 1.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base. When the average daily availability is less than 50% of the borrowing base, the LIBOR Margin is equal to LIBOR, plus a margin of 1.75% per annum. Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base. When the average daily availability is less than 50% the Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.75% per annum. The Base Rate, as defined in the Credit Agreement, is a fluctuating rate per annum equal to the highest of (a) the U. S. federal funds rate, plus a margin of 0.50% per annum, (b) the adjusted LIBOR rate plus a margin of 1.00% or

 

16



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(c) the Bank prime rate in effect at that time.

 

The obligations of the Company under the Credit Facility are secured by liens on all assets of the Company. The Credit Agreement contains various customary covenants, including, but not limited to, limitations on indebtedness, liens, investments, dividends or other capital distributions, purchases or redemptions of stock, sales of assets or subsidiary stock, transactions with affiliates, line of business and accelerated payments of certain obligations and minimum availability requirement.

 

The Credit Agreement contains events of default customary for similar financings. Upon the occurrence of an event of default, the outstanding obligations under the Credit Facility may be accelerated and become due and payable immediately. In addition, if a certain change of control event occurs with respect to any loan party, the lenders have the right to require the Company to repay any outstanding loans under the Credit Facility.

 

The Company had outstanding letters of credit of $1.2 million, $1.1 million and $1.6 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively.

 

On May 9, 2014, the Company commenced a rights offering with its existing stockholders, which resulted in the issuance of 115,377 shares of the Company’s common stock for gross proceeds of $230,754. On June 2, 2014, the Company raised approximately $15.0 million (net of $1.1 million in commission and other offering expenses) from the sale of 9.2 million shares of the Company’s common stock in an underwritten public offering at a price per share of $1.75.  A portion of the proceeds of the public offering (approximately $10.4 million) were used to pay down borrowings under the Credit Facility.

 

We believe that cash flow from operations, our current available cash and our Credit Facility will be sufficient to meet our working capital needs for the balance of the fiscal year.  However, unforeseen cash requirements, changes in vendor terms, negative changes in macroeconomic conditions, industry trends, competition or any of the other factors cited from time to time in our public filings, including the “Risk Factors” disclosed in our Annual Report on Form 10-K for the fiscal year ended December 28, 2013, filed on March 25, 2014 (the “2013 Form 10-K”) could result in a material adverse effect on our business, liquidity and financial condition.

 

Inflation

 

The Company does not believe that its sales revenue or operating results have been materially impacted by inflation during the past two fiscal years. There can be no assurance, however, that our sales revenue or operating results will not be impacted by inflation in the future.

 

Off-Balance Sheet Arrangements

 

The Company does not have any off-balance sheet arrangements or transactions with unconsolidated, limited purpose entities. In the normal course of our business, we enter into operating leases for store locations and utilize letters of credit principally for the importation of merchandise. Other than operating lease commitments and letters of credit, we are not a party to any material off-balance sheet financing arrangements.

 

Critical Accounting Policies and Estimates

 

The Company’s accounting policies are more fully described in Note 1 of the Notes to Consolidated Financial Statements in our fiscal 2013 Form 10-K.  As disclosed in Note 1 of the Notes to Consolidated Financial Statements, the preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“GAAP”) requires management to make estimates and assumptions about future events that affect the amounts reported in the consolidated financial statements and accompanying notes. Since future events and their effects cannot be determined with absolute certainty, actual results may differ from those estimates. We evaluate our estimates and judgments on an ongoing basis, and predicate those estimates and judgments on historical experience and on various other factors that are believed to be reasonable under the circumstances.  Actual results may differ from these estimates under different assumptions or conditions.

 

The Company’s management believes the following critical accounting policies, among others, affect its more significant judgments and estimates used in preparation of the Consolidated Financial Statements.

 

Inventories. As discussed in Note 1 the Company changed its accounting for retail finished goods inventory to the lower of cost or market, with cost being determined on the first-in, first-out method.  Inventories other than finished goods at retail stores, called production inventory, primarily consists of piece goods, trim and work-in-process The Company historically and continues to value its production inventory at the lower of cost or market value using first-in-first-out method.  Market is determined for our in finished goods inventory and production inventory based on an estimate of the net realizable value.  The Company determines net realizable

 

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value based on an analysis of historical results, age, obsolescence, potential use, market conditions, and estimates regarding future selling prices. Based on this analysis, the Company records an adjustment for any decline in its value.  If the actual results or conditions are different than those projected by management future period gross margin rates may be unfavorably or favorably affected.

 

Finite long-lived assets.  The Company’s judgment regarding the existence of impairment indicators is based on market and operational performance. We assess the impairment of long-lived assets, primarily fixed assets, whenever events or changes in circumstances indicate that the carrying value may not be recoverable and exceeds the fair market value. Factors we consider important which could trigger an impairment review include the following:

 

·                  significant changes in the manner of our use of assets or the strategy for our overall business;

 

·                  significant negative industry or economic trends;

 

·                  store closings; or

 

·                  underperforming business trends.

 

The Company evaluates finite long-lived assets in accordance with “Impairment or Disposal of Long-Lived Assets” under Topic 360 “Property, Plant and Equipment” of the Financial Accounting Standard Board’s Accounting Standards Codification (“FASB ASC”). Finite-lived assets are evaluated for recoverability in accordance with Topic 360 of the FASB ASC whenever events or changes in circumstances indicate that an asset may have been impaired. In evaluating an asset for recoverability, the Company estimates the future cash flows expected to result from the use and eventual disposition of the asset. If the sum of the expected future cash flows (undiscounted and without interest charges) is less than the carrying amount of the asset, an impairment loss, equal to the excess of the carrying amount over the fair market value of the asset, is recognized. Various factors including future sales growth and profit margins are included in this analysis. To the extent these future projections or strategies change, the conclusion regarding impairment may differ from the current estimates. No impairment charges were recorded during the 26-week period ended June 28, 2014. The Company recorded an impairment charge of $1.0 million for 27 underperforming stores during the fourth quarter of fiscal 2013.

 

Self Insurance. The Company is self-insured for losses and liabilities related primarily to employee health and welfare claims up to certain thresholds. Losses are accrued based upon our estimates of the aggregate liability for claims incurred using certain actuarial assumptions followed in the insurance industry and based on Company experience.  The Company’s earnings were impacted by an increase in employee health and welfare expense of $184,000 and $316,000 for the 26- week period and 13-week period ended June 28, 2014, respectively.  We maintain stop-loss insurance coverage, which covers us for benefits paid in excess of limits as defined in the plan.

 

Gift Cards, Gift Certificates and Credits. The Company sells gift cards and gift certificates (“Gift Cards”) and issues credits to its customers when merchandise is returned (“Merchandise Credits”), which do not expire. The Company recognizes sales from Gift Cards when they are redeemed by the customer and income when the likelihood of the Gift Card and Merchandise Credit being redeemed by the customer is remote (“Gift Card breakage”), since the Company has determined that it does not have a legal obligation to remit the unredeemed value to the relevant jurisdiction as abandoned property. The Company determines Gift Card breakage income based upon historical redemption patterns of its Merchandise Credits and Gift Cards.  The Company has determined based on these historical redemption rates that approximately 5% of its Merchandise Credits issued and approximately 3% of its Gift Cards issued will remain unredeemed.  The Company is recognizing the estimated unredeemed Merchandise Credits and Gift Cards over a fourteen-quarter period with 64% recognized in the first quarter to 0.03% in the fourteenth quarter subsequent to the issue date.  The Company has determined that redemption would be remote based on the fact that, by the fourteenth quarter since issue date, the redemption rate approximated 0%, indicating that the probability of such merchandise credits and gift cards being redeemed is remote. As such, we have recorded breakage income based upon the above criteria which is reviewed on a quarterly basis for propriety. Breakage income represents the balance of Gift Cards and Merchandise Credits for which the Company believes the likelihood of redemption by the customer is remote.

 

The Company recorded breakage income of $112,000 and $120,000 during the 26-week periods ended June 28, 2014 and June 29, 2013, respectively.

 

Loyalty Program. In March 2014, the Company launched “Treasured”, a loyalty program which allows its customers to earn reward points based on dollar purchases.  For every dollar spent at a Cache store or online, a customer will receive two reward points which are worth between $0.02 and $.025 depending on the reward points earned.  The value of the reward points earned during each quarter can be redeemed for future purchases during the following quarter.  A minimum of 500 points must be earned before reward dollars are granted to a customer. The cost (merchandise cost) of these reward dollars which are projected to be redeemed are

 

18



Table of Contents

 

expensed in the quarter that they are earned.  All unused points at December 31 are forfeited and any remaining unused amounts will be reversed.

 

Revenue Recognition.  Sales are recognized at the “point of sale,” which occurs when merchandise is sold in an “over-the-counter” transaction or upon receipt by a customer. Sales of merchandise via our website and the related amounts billed to customers for shipping are recognized at the expected time of delivery to the customer. Our customers have the right to return merchandise. Sales are reported net of actual and estimated returns. We maintain a reserve for potential product returns and record, as a reduction to sales, a provision for estimated product returns, which is determined based on historical experience. The Company recorded a net decrease in sales return reserve of $324,000 and $53,000 for the 26-week periods ended June 28, 2014 and June 29, 2013, respectively. Costs incurred for shipping and handling are included in cost of sales. The Company records revenues net of applicable sales tax.

 

The Company’s co-branded customer credit card program, which was introduced during fiscal 2007, entitles the Company to receive from the issuing bank a non-refundable credit card activation fee for each new account that is opened and activated. These fees are initially deferred and recognized in consolidated net sales as revenue over the life of the contract, which was amended on March 1, 2013 for a period of 7 years. During each of the 26-week periods ended June 28, 2014 and June 29, 2013, the Company received approximately $88,000 in connection with activated credit cards. The amount of fee income recorded in connection with activated credit cards was $123,000 and $275,000 for the 26-week periods ended June 28, 2014 and June 29, 2013, respectively.

 

The Company also receives from the issuing bank and Visa U.S.A. Inc. a sales royalty, which is based on a percentage of net purchases made by cardholders at Cache or other businesses. Cache has determined that since it has not incurred any significant or recurring costs in relation to the co-branded credit card program, the sales royalties earned in connection to the agreement will be recorded under net sales. The fees that are incurred by the Company are cardholder incentives, which are funded from the fees paid by the issuing bank and Visa U.S.A. Inc. The amount of sales royalty income recorded was $217,000 and $218,000 for the 26-week periods ended June 28, 2014 and June 29, 2013, respectively.

 

The Company also offers its card holders a program whereby points can be earned on net purchases made with the co-branded credit card. Five reward points are awarded for each dollar spent at Cache and one reward point is awarded for each dollar spent at other businesses.  A cardholder whose credit card account is not delinquent, in default or closed will be automatically eligible to receive a $25 Company gift card upon accrual of 2,500 reward points. Effective March 1, 2013, the issuing bank pays the Company 70% of the Company gift cards issued to the bank.  All other costs associated with the gift card reward program is the responsibility of the bank.

 

Income Taxes. The Company accounts for income taxes in accordance with “Income Taxes”, Topic 740 of the FASB ASC. This guidance requires the Company to recognize deferred tax liabilities and assets for the expected future tax consequences of events that have been recognized in the Company’s financial statements or tax returns. Under this method, deferred tax liabilities and assets are determined based on the difference between the financial statement carrying amounts and tax bases of assets and liabilities, using applicable tax rates for the years in which the differences are expected to reverse.  At December 28, 2013 the Company had federal net operating loss “NOL” carryforwards of approximately $55.7 million, expiring from 2030 to 2033 of which the Company recorded a full valuation allowance against the deferred tax assets associated with these NOL carryforwards.  During the 26-week period ended June 28, 2014 the Company recorded no income tax benefit as a result of a full valuation allowance.  During the 26-week period ended June 29, 2013, the Company recorded income tax expense of $10.1 million as a result of a full valuation allowance recorded against its remaining net deferred tax assets.  Federal valuation allowances totaled $30.2 million, $23.9 million and $19.6 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively.  State valuation allowances totaled $5.2 million, $4.5 million and $3.9 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively. The valuation allowances represent full valuation allowances for the possible non-utilization of net operating loss carry-forwards which may not be realized in future periods before they expire.

 

When tax contingencies become probable, a liability for the contingent amount is estimated based upon the Company’s best estimation of the potential exposures associated with the timing and amount of deductions, as well as various tax filing positions. As of June 28, 2014, December 28, 2013 and June 29, 2013, the Company had no reserve recorded for potential tax contingencies.

 

Seasonality. The Company experiences seasonal and quarterly fluctuations in net sales and operating income. Quarterly results of operations may fluctuate significantly as a result of a variety of factors, including fashion trends, shifts in timing of certain holidays, economic conditions and competition.  Our business is subject to seasonal influences, characterized by highest sales generally during the second and fourth quarter and lowest sales generally during the first and third quarter.

 

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

 

Our market risk relates primarily to changes in interest rates as we borrow under the Credit Facility. A portion of the proceeds of the public offering of the Company’s common stock (approximately $10.4 million) were used to pay down borrowings under the Credit

 

19



Table of Contents

 

Facility. At June 28, 2014 the Company had no borrowings under the facility. Based upon a sensitivity analysis a 100 basis point increase or decrease in interest rates will not have a material impact.

 

ITEM 4. CONTROLS AND PROCEDURES

 

The Company is committed to maintaining disclosure controls and procedures designed to ensure that information required to be disclosed in our periodic reports filed under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms, and that such information is accumulated and communicated to our management, including our chief executive officer and chief financial officer, as appropriate, to allow for timely decisions regarding required disclosure.

 

Under the supervision and with the participation of our management, including our principal executive officer and principal financial officer, we conducted an evaluation of our disclosure controls and procedures, as such term is defined under Rules 13a-15(e) and 15d-15(e) under the Exchange Act, as of the end of the period covered by this report.  Management used the criteria set forth by the Committee of Sponsoring Organizations of the Treadway Commission (COSO) in Internal Control — Integrated Framework to evaluate the effectiveness of the Company’s internal controls. There are inherent limitations to the effectiveness of any system of disclosure controls and procedures, including the possibility of human error and the circumvention or overriding of the controls and procedures.  Accordingly, even effective disclosure controls and procedures can only provide reasonable assurance of achieving their control objectives.  Based on this evaluation, our principal executive officer and our principal financial officer concluded that our disclosure controls and procedures were effective as of the end of the period covered by this report.

 

During the 13-week period ended June 28, 2014, there has been no change in our internal control over financial reporting (as defined in Rules 13a-15(f) and 15d-15(f) of the Exchange Act) that has materially affected, or is reasonably likely to materially affect, the Company’s internal control over financial reporting.

 

PART II - OTHER INFORMATION

 

ITEM 1.  LEGAL PROCEEDINGS

 

The Company is exposed to a number of asserted and unasserted potential claims.  Management does not believe that the resolution of any of these matters will result in a material loss.  The Company had no guarantees, subleases or assigned lease obligations as of June 28, 2014, December 28, 2013 or June 29, 2013.

 

ITEM 2.  UNREGISTERED SALE OF EQUITY SECURITIES AND USE OF PROCEEDS

 

None.

 

ITEM 3.  DEFAULTS UPON SENIOR SECURITIES

 

None.

 

ITEM 4.  MINE SAFETY DISCLOSURE

 

Not applicable.

 

ITEM 5.  OTHER INFORMATION

 

None.

 

ITEM 6. EXHIBITS

 

31.1

Certification Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

31.2

Certification Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

32.1

Certification Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

101

The following materials from Cache Inc.’s Quarterly Report on Form 10-Q for the quarter ended June 28, 2014 are furnished herewith, formatted in XBRL (eXtensible Business Reporting Language): (i) the Condensed Consolidated Balance Sheets as of June 28, 2014, December 28, 2013 and June 29, 2013, (ii) the Condensed Consolidated Statements of Operations for the Twenty-Six Weeks Ended June 28, 2014 and June 29, 2013, (iii) the Condensed Consolidated Statements of Operations for the Thirteen Weeks Ended June 28, 2014 and June 29, 2013, (iv) the Condensed Consolidated Statements of Cash Flows for the Twenty-Six Weeks Ended June 28, 2014 and June 29, 2013, and (v) the Notes to Condensed Consolidated Financial Statements.

 

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Signatures

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

Dated: August 12, 2014

 

CACHE, INC.

 

 

 

 

 

 

 

BY:

/s/ Jay M. Margolis

 

 

Jay M. Margolis

 

 

Chairman and Chief Executive Officer

 

 

(Principal Executive Officer)

 

 

 

 

 

 

 

BY:

/s/ Anthony DiPippa

 

 

Anthony DiPippa

 

 

Executive Vice President, Chief Financial Officer and Principal Financial and Accounting Officer

 

21


EX-31.1 2 a14-13328_1ex31d1.htm EX-31.1

EXHIBIT 31.1

 

CERTIFICATION

 

I, Jay Margolis, certify that:

 

1.                                      I have reviewed this report on Form 10-Q of Cache Inc. (Cache);

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements are made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f) for the registrant and have:

 

a.                                      designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.                                      designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.                                       evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures as of the end of the period covered by this report based on such evaluation; and

 

d.                                      disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a.                                      all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b.                                      any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

August 12, 2014

By:

/s/ Jay M. Margolis

 

 

Jay M. Margolis

 

 

Chairman and Chief Executive Officer

 

 

(Principal Executive Officer)

 


EX-31.2 3 a14-13328_1ex31d2.htm EX-31.2

EXHIBIT 31.2

 

CERTIFICATION

 

I, Anthony DiPippa, certify that:

 

1.                                      I have reviewed this report on Form 10-Q of Cache Inc. (Cache);

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements are made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f) for the registrant and have:

 

a.                                      designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.                                      designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.                                       evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures as of the end of the period covered by this report based on such evaluation; and

 

d.                                      disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a.                                      all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b.                                      any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

August 12, 2014

By:

/s/ Anthony DiPippa

 

 

Anthony DiPippa

 

 

Executive Vice President, Chief Financial Officer and Principal Financial and Accounting Officer

 


EX-32.1 4 a14-13328_1ex32d1.htm EX-32.1

EXHIBIT 32.1

 

CERTIFICATION PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

Pursuant to, and solely for purposes of, 18 U.S.C. Section 1350 (Section 906 of the Sarbanes-Oxley Act of 2002), each of the undersigned hereby certifies in the capacity and on the date indicated below that:

 

1.                                      The Quarterly Report of Cache, Inc. on Form 10-Q for the period ending June 28, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”) fully complies with the requirements of Section 13 (a) or 15 (d) of the Securities and Exchange Act of 1934; and

 

2.                                      The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of Cache, Inc.

 

August 12, 2014

By:

/s/ Jay M. Margolis

 

 

Jay M. Margolis

 

 

Chairman and Chief Executive Officer

 

 

(Principal Executive Officer)

 

 

 

 

 

 

August 12, 2014

By:

/s/ Anthony DiPippa

 

 

Anthony DiPippa

 

 

Executive Vice President, Chief Financial Officer and Principal Financial and Accounting Officer

 


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Wells Fargo Bank National Association [Member] Wells Fargo Bank Represents the vesting period of stock awards where vesting is contingent upon meeting performance goals. Restricted Stock Awards Vesting Dependent upon Achieving Performance Goals Vesting Period Vesting period of stock awards where vesting is contingent upon meeting performance goals Represents information pertaining to the Separation and General Release Agreement related to resignation of chairman of board and chief executive officer. Separation and General Release Agreement [Member] Separation Agreement Separation and General Release Agreement Represents the term of treasury note. Treasury Note Term Term of treasury note Represents the amount of the balance for allowance for doubtful accounts reversed during the period due to discontinuance of operations of the entity. Allowance for Doubtful Accounts, Reversed, Due to Discontinued Operation Reserves reversed due to the discontinuance of the Company's wholesale division-Mary L Represents the gain (loss) from the reversal of deferred rent. Gain (Loss) from Reversal of Deferred Rent Net gain from reversal of deferred rent Contingent rent expense based upon sales volume expressed as a maximum percentage of net minimum rent expense. Operating Leases Contingent Rent Expense as Percentage of Minimum Rentals Maximum Contingent rent based upon sales volume as a maximum percentage of net minimum rent expense Other occupancy costs expressed as a percentage of net minimum rent expense. Operating Leases Other Occupancy Costs as Percentage of Minimum Rentals Other occupancy costs as a percentage of net minimum rent expense Carrying value as of the balance sheet date of the liability for fixed asset additions. Accrued Liabilities for Fixed Asset Additions Fixed asset additions Document and Entity Information Amendment Description Basis of Presentation [Line Items] Basis of presentation Amendment Flag Schedule of information pertaining to basis of presentation. Basis of Presentation [Table] Represents the other receivables from customers for goods or services that have been delivered or sold, which are not elsewhere specified in the taxonomy. Other Receivables [Member] Other Represents equipment commonly used in offices and stores that have no permanent connection to the structure of a building or utilities and tangible personal property used to produce goods and service. Furniture, Fixtures and Equipment [Member] Furniture, fixtures and equipment Represents the carrying value of operating expenses, as of the balance sheet date. 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Document Period End Date Represents the value of a gift card for which cardholders whose credit card account are not delinquent, in default or closed will be automatically eligible to receive the gift card upon accrual of specified reward points. Value of Gift Card which Eligible Cardholders will Receive upon Accrual of Specified Reward Points Value of a Cache gift card which eligible cardholders will receive upon accrual of 2,500 reward points Represents the number of reward points upon accrual cardholders whose credit card account are not delinquent, in default or closed will be automatically eligible to receive gift card. Reward Points Required to be Accrued to Receive Gift Card Number of accrued reward points to receive gift card Represents the minimum period for which employees must be employed to become eligible to participate in the plan. 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Loss Contingency Number of Employees of Plaintiff Number of Chico's former employees employed by Cache related to lawsuit Arrangements and Non-arrangement Transactions [Domain] The amount of insurance reimbursement for recovery of legal fees paid in connection with lawsuit. Loss Contingency Insurance Recoveries Insurance reimbursement Deferred Tax Assets Liabilities Current Classification [Abstract] Current Represents amount before allocation of valuation allowances of deferred tax asset attributable to deductible temporary differences and carryforwards, net of deferred tax liability attributable to taxable temporary differences expected to be realized or consumed within one year or operating cycle, if longer. 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Deferred Tax Assets Liabilities Gross Noncurrent Total Non-current, gross Represents the additional shares included in the calculation of diluted EPS as a result of the potentially dilutive effect of exercise of stock options. Incremental Common Shares Attributable to Stock Options Potential exercise of stock options outstanding and exercisable included in diluted weighted average shares Represents the additional shares included in the calculation of diluted EPS as a result of the potentially dilutive effect of issuance of all restricted stock awards, as if issued on the original grant date. Incremental Common Shares Attributable to Other than Options Weighted average number of shares attributable to restricted stock awards Share Based Compensation Arrangement by Share Based Payment Award Exercisable Rate Awards exercisable rate (as a percent) Represents the annual rate at which the granted awards generally become exercisable. Share Based Compensation Arrangement by Share Based Payment Award Options Outstanding Weighted Average Remaining Contractual Term [Roll Forward] Weighted Average Remaining Contractual Life Share Based Compensation Arrangement by Share Based Payment Award Options Nonvested Weighted Average Grant Date Fair Value [Roll Forward] Weighted Average Grant Date Fair Value Represents the total fair value of options granted during the reporting period. Share Based Compensation Arrangement by Share Based Payment Award Options Granted in Period, Total Fair Value Fair value of options granted (in dollars per share) The impairment charge against earnings from the write down of underperforming stores. Asset Impairment Charges Underperforming Stores Impairment charge Represents the approximated redemption rate as a percent of unredeemed gift cards and merchandise credits in the last quarter of recognition period. Unredeemed Gift Cards and Merchandise Credits Redemption Rate in Last Quarter of Recognition Period Redemption rate of Gift Cards and Merchandise Credits in the fourteenth quarter subsequent to issue date, as a percent Letter of Credit [Abstract] Letters of Credit The total amount of the contingent obligation under letters of credit maturing in the second fiscal year following the latest fiscal year. Letters of Credit Due in Next Twelve Months 2014 A change in inventory valuation method from one acceptable accounting method to another. Change in Inventory Valuation Method [Member] Change in inventory valuation method Represents amount of guarantees, subleases or assigned lease obligations as of the balance sheet date. Loss Contingency Guarantees Subleases or Assigned Lease Obligations Amount of guarantees, subleases or assigned lease obligations RIGHTS AND PUBLIC OFFERING OF STOCK Disclosure pertaining to rights offering and related transactions of the entity. Rights Offering and Related Transactions Disclosure [Text Block] RIGHTS AND PUBLIC OFFERING OF STOCK Disclosure for rights offering and related transactions. Rights Offering and Related Transactions [Table] Represents information pertaining to the Nonqualified Stock Option Agreement entered into by the entity. Nonqualified Stock Option Agreement [Member] Nonqualified Stock Option Agreement Rights Offering and Related Transactions [Line Items] RIGHTS OFFERING AND RELATED TRANSACTIONS Represents the annual base salary under the agreement. Annual Base Salary Under Agreement Annual base salary Represents the amount of annual bonus as a percentage of annual base salary, subject to financial performance targets set by the entity under the agreement. Annual Bonus as Percentage of Annual Base Salary Subject to Financial Performance Targets under Agreement Annual bonus as a percentage of annual base salary, subject to financial performance targets Represents the amount of guaranteed bonus under the agreement. Guaranteed Bonus under Agreement Guaranteed bonus Represents the amount of severance benefits payable for the remaining balance of employment term, subject to reduction for any compensation that will be received from any employment or consultant position during the remainder of the term, under the agreement. Severance Benefits Payable under Agreement Severance benefits payable for the remaining balance of employment term Represents the term during which severance benefits will be payable under the agreement. Term During which Severance Benefits will be Payable under Agreement Term during which severance benefits will be payable Information by average daily availability under the credit facility. Credit Facility Average Daily Availability [Axis] Type of average daily availability under the credit facility. Credit Facility Average Daily Availability [Domain] The amount of expense provided in the period for deferred financing costs. Deferred Financing Costs Deferred financing costs The U.S. federal funds rate which may be used to calculate the variable interest rate of the debt instrument at the entity's option. U S Federal Funds [Member] U. S. federal funds rate The adjusted London Interbank Offered Rate (LIBOR) which may be used to calculate the variable interest rate of the debt instrument at the entity's option. Adjusted LIBOR [Member] Adjusted LIBOR rate Represents a share based compensation award with vesting based on length of service. Vesting Based on Service [Member] Time Based Vesting Represents information pertaining to purchase obligations. Purchase Obligations [Member] Purchase Obligations Vesting Based on Performance [Member] Performance based vesting Represents a share based compensation award with vesting based on achievement of performance. Length of fiscal year Duration of a fiscal period, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days. Includes, but not limited to, weeks in a year or quarter. Fiscal Period Duration Length of fiscal year The total amount of the contingent obligation under letters of credit maturing in the second fiscal year following the latest fiscal year. Letters of Credit Due in Second Year 2015 The total amount of the contingent obligation under letters of credit maturing in the third fiscal year following the latest fiscal year. Letters of Credit Due in Third Year 2016 The total amount of the contingent obligation under letters of credit maturing in the fourth fiscal year following the latest fiscal year. Letters of Credit Due in Fourth Year 2017 The total amount of the contingent obligation under letters of credit maturing in the fifth fiscal year following the latest fiscal year. Letters of Credit Due in Fifth Year 2018 Entity Well-known Seasoned Issuer The total amount of the contingent obligation under letters of credit maturing after the fifth fiscal year following the latest fiscal year. Letters of Credit Due After Fifth Year Thereafter Entity Voluntary Filers Represents the equity impact of the value of rights stock issued during the period. Stock Issued During Period Value Rights Issues Issuance of common stock from rights offering, net of issuance costs of $2,118,000 Entity Current Reporting Status Stock Issued During Period Shares Rights Issues Issuance of common stock from rights offering, net of issuance costs of $2,118,000 (in shares) Represents the number of rights stock issued during the period. Entity Filer Category Represents the period of non-refundable credit card activation fees received by the entity for each new account opened and activated. Period of Nonrefundable Credit Card Activation Fee Period of non-refundable credit card activation fees Entity Public Float Represents the percentage of amount paid by bank on value of gift cards issued by the entity. Percentage of Amount Paid by Bank on Value of Gift Cards Issued Percentage of amount paid by bank on value of gift cards issued by the entity Entity Registrant Name Represents the time-based stock options issued under the share-based compensation arrangements. Time Based Stock Options [Member] Time-based stock options Entity Central Index Key Information pertaining to Bank of America. Bank of America [Member] Bank of America Represents the amount of accrued issuance costs during the period. Accrued Issuance Costs Accrued issuance costs Represents the amount of deferred financing costs during the period. 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INCOME TAXES (Details ) (USD $)
3 Months Ended 6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Jun. 29, 2013
Dec. 28, 2013
Net operating loss carry-forward          
Income tax expense (benefit) $ 125,000 $ 20,000 $ 175,000 $ 10,124,000  
Income tax benefit as a result of full tax valuation allowance     0    
Reserve recorded for potential tax contingencies 0 0 0 0 0
Federal
         
Net operating loss carry-forward          
Net operating loss carry-forward         55,700,000
Valuation allowance 30,200,000 19,600,000 30,200,000 19,600,000 23,900,000
State
         
Net operating loss carry-forward          
Valuation allowance $ 5,300,000 $ 3,900,000 $ 5,300,000 $ 3,900,000 $ 4,500,000
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RECEIVABLES (Details) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
Receivables      
Receivables, net $ 3,060,000 $ 2,806,000 $ 2,299,000
Income tax receivable     59,000
Construction allowances
     
Receivables      
Receivables, net 205,000 430,000 216,000
Third party credit cards
     
Receivables      
Receivables, net 1,535,000 1,674,000 1,404,000
Other
     
Receivables      
Receivables, net $ 1,320,000 $ 702,000 $ 679,000

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INVENTORIES (Tables)
6 Months Ended
Jun. 28, 2014
INVENTORIES  
Schedule of inventories

 

 

 

 

 

 

As adjusted

 

As adjusted

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

 

 

 

 

(See Note 1)

 

(See Note 1)

 

Raw materials

 

$

1,269,000

 

$

935,000

 

$

1,843,000

 

Work in process

 

1,906,000

 

1,918,000

 

1,839,000

 

Finished goods

 

21,223,000

 

22,088,000

 

17,009,000

 

 

 

$

24,398,000

 

$

24,941,000

 

$

20,691,000

 

 

XML 16 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER LIABILITIES (Details) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
OTHER LIABILITIES      
Deferred rent $ 6,790,000 $ 7,525,000 $ 7,891,000
Deferred income - co-branded credit card program 1,169,000 1,218,000 1,218,000
Severance   75,000 399,000
Other liabilities $ 7,959,000 $ 8,818,000 $ 9,508,000
XML 17 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
RECENT ACCOUNTING PRONOUNCEMENTS
6 Months Ended
Jun. 28, 2014
RECENT ACCOUNTING PRONOUNCEMENTS  
RECENT ACCOUNTING PRONOUNCEMENTS

4.              RECENT ACCOUNTING PRONOUNCEMENTS

 

In April 2014 the FASB issued Accounting Standards Update (“ASU”) 2014-08, Presentation of Financial Statements (Topic 205) and Property, Plant, and Equipment (Topic 360). ASU 2014-08 changes the criteria for reporting discontinued operations for all public and nonpublic entities. The amendments also require new disclosures about discontinued operations and disposals of components of an entity that do not qualify for discontinued operations reporting. For public companies, the amendments are effective prospectively for interim and annual reporting periods beginning after December 15, 2014. The Company does not expect the adoption of ASU 2014-08 to have a material impact on its consolidated financial statements.

 

In May 2014, the FASB issued ASU No. 2014-09 Revenue from Contracts with Customers which outlines a single comprehensive model for entities to use in accounting for revenue from contracts with customers and supersedes most current revenue recognition guidance in FASB ASC 605, Revenue Recognition, including industry-specific guidance.  The ASU is based on the principle that an entity should recognize revenue to depict the transfer of goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services.  The ASU also requires additional disclosure about the nature, amount, timing and uncertainty of revenue and cash flows arising from customer contracts, including significant judgments and changes in judgments and assets recognized from costs incurred to fulfill a contract.  The ASU becomes effective for annual reporting periods beginning after December 15, 2016, including interim periods within that reporting period; early adoption is not permitted.  Entities have the option of using either a full retrospective or a modified retrospective approach for the adoption of the new standard.  The Company is currently assessing the impact that this standard will have on its consolidated financial statements.

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BASIS OF PRESENTATION (Details)
6 Months Ended 12 Months Ended
Jun. 28, 2014
store
Dec. 28, 2013
Business    
Number of women's apparel specialty stores operated 239  
Basis of presentation    
Length of fiscal year 371 days 364 days
Minimum
   
Basis of presentation    
Length of fiscal year 364 days  
Maximum
   
Basis of presentation    
Length of fiscal year 371 days  
XML 20 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER LIABILITIES (Tables)
6 Months Ended
Jun. 28, 2014
OTHER LIABILITIES  
Schedule of other liabilities

 

 

 

 

June 28,
2014

 

December 28,
2013

 

June 29,
2013

 

Deferred rent

 

$

6,790,000

 

$

7,525,000

 

$

7,891,000

 

Deferred income — co-branded credit card program

 

1,169,000

 

1,218,000

 

1,218,000

 

Severance

 

 

75,000

 

399,000

 

 

 

$

7,959,000

 

$

8,818,000

 

$

9,508,000

 

 

XML 21 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENTATION (Details 2) (USD $)
3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Jun. 29, 2013
Dec. 28, 2013
Jun. 29, 2013
As reported
Jun. 29, 2013
As reported
Dec. 28, 2013
As reported
Jun. 29, 2013
Change in inventory valuation method
Adjustments
Jun. 29, 2013
Change in inventory valuation method
Adjustments
Dec. 28, 2013
Change in inventory valuation method
Adjustments
Dec. 31, 2012
Change in inventory valuation method
Adjustments
Condensed Consolidated Balance Sheets                        
Inventories, net $ 24,398,000 $ 20,691,000 $ 24,398,000 $ 20,691,000 $ 24,941,000 $ 19,321,000 $ 19,321,000 $ 23,673,000 $ 1,370,000 $ 1,370,000 $ 1,268,000 $ (737,000)
Deferred tax assets                       (123,000)
Retained earnings (accumulated deficit) (21,967,000) 9,637,000 (21,967,000) 9,637,000 (3,236,000) 8,267,000 8,267,000 (4,504,000) 1,370,000 1,370,000 1,268,000 (860,000)
Condensed Consolidated Statement of Operations                        
Cost of sales, including buying and occupancy 37,029,000 37,695,000 71,501,000 74,254,000   39,247,000 76,361,000   (1,552,000) (2,107,000)    
Loss before income taxes (7,799,000) (1,586,000) (18,556,000) (9,309,000)   (3,138,000) (11,416,000)   1,552,000 2,107,000    
Income tax provision 125,000 20,000 175,000 10,124,000   20,000 10,247,000     (123,000)    
Net loss (7,924,000) (1,606,000) (18,731,000) (19,433,000)   (3,158,000) (21,663,000)   1,552,000 2,230,000    
Basic loss per share (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)   $ (0.17) $ (1.37)          
Diluted loss per share (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)   $ (0.17) $ (1.37)          
Condensed Consolidated Statement of Cash Flows                        
Net loss (7,924,000) (1,606,000) (18,731,000) (19,433,000)   (3,158,000) (21,663,000)   1,552,000 2,230,000    
Deferred income taxes       10,078,000     10,201,000     (123,000)    
Inventories     $ 543,000 $ (182,000)     $ 1,925,000     $ (2,107,000)    
XML 22 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCK-BASED COMPENSATION (Details) (USD $)
3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 0 Months Ended 3 Months Ended 6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Board members
Mar. 29, 2014
Board members
Jun. 29, 2013
Board members
Mar. 30, 2013
Board members
Jun. 28, 2014
Board members
Jun. 29, 2013
Board members
Jun. 29, 2013
Stock options
Feb. 05, 2013
Stock options
Jay Margolis
Time-based stock options
Jun. 28, 2014
Stock options
Jay Margolis
Time-based stock options
Jun. 29, 2013
Stock options
Jay Margolis
Time-based stock options
Jun. 28, 2014
Restricted stock
Jun. 29, 2013
Restricted stock
Jun. 28, 2014
Restricted stock
Jun. 29, 2013
Restricted stock
Stock-based compensation                                    
Stock-based compensation expense $ 254,000 $ 77,000 $ 564,000 $ 214,000 $ 29,000   $ 12,000   $ 58,000 $ 71,000                
Number of options granted (in shares)                       1,000,000            
Exercise price of options granted (in dollars per share)                       $ 3.34            
Options granted (in dollars per share)                       $ 1.15            
Excess tax benefits recognized from exercise of stock options                         0 0        
Shares of common stock issued           24,000   40,000                    
Total fair value of stock issued           115,000   94,000                    
Number of restricted stock awards granted (in shares)                             277,000 255,000 348,000 255,000
Weighted Average Grant-Date Fair Value                                    
Granted (in dollars per share)                             $ 3.29 $ 3.81 $ 3.74 $ 3.81
Vesting period                             3 years 3 years 3 years 3 years
Assumptions used in calculating fair value of options                                    
Expected dividend rate                     $ 0.00              
Expected volatility (as a percent)                     50.72%              
Risk free interest rate (as a percent)                     0.41%              
Expected lives                     3 years              
XML 23 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIC AND DILUTED EARNINGS PER SHARE
6 Months Ended
Jun. 28, 2014
BASIC AND DILUTED EARNINGS PER SHARE  
BASIC AND DILUTED EARNINGS PER SHARE

3.              BASIC AND DILUTED EARNINGS PER SHARE

 

Basic loss per share has been computed based upon the weighted average of common shares outstanding. Diluted loss per share also includes the dilutive effect of potential common shares (dilutive stock options and unvested restricted stock awards) outstanding during the period. Loss per common share has been computed as follows:

 

 

 

26-Weeks Ended

 

13-Weeks Ended

 

 

 

June 28,

 

June 29,

 

June 28,

 

June 29,

 

 

 

2014

 

2013

 

2014

 

2013

 

Net loss

 

$

(18,731,000

)

$

(19,433,000

)

$

(7,924,000

)

$

(1,606,000

)

Basic weighted number of average shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

Incremental shares from assumed issuances of stock options and restricted stock awards

 

 

 

 

 

Diluted weighted average number of shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

 

 

 

 

 

 

 

 

 

 

Net loss per share - Basic

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

- Diluted

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

 

Options and unvested restricted common shares totaling 1,657,666 and 1,696,383 shares were excluded from the computation of diluted loss per share for the 26- and 13-week periods ended June 28, 2014 and June 29, 2013, respectively, due to the net loss incurred by the Company.

XML 24 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIC AND DILUTED EARNINGS PER SHARE (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Jun. 29, 2013
BASIC AND DILUTED EARNINGS PER SHARE        
Net loss $ (7,924,000) $ (1,606,000) $ (18,731,000) $ (19,433,000)
Basic weighted number of average shares outstanding 24,078,000 18,378,000 22,604,000 15,769,000
Diluted weighted average number of shares outstanding 24,078,000 18,378,000 22,604,000 15,769,000
Net loss per share - Basic (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)
Net loss per share - Diluted (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)
Stock options
       
Anti-dilutive shares        
Anti-dilutive securities excluded from the computation of diluted earnings (in shares) 1,657,666 1,696,383 1,657,666 1,696,383
XML 25 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
RIGHTS AND PUBLIC OFFERING OF STOCK (Details) (USD $)
6 Months Ended 0 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 02, 2014
Public Offering
May 09, 2014
Rights Offering
RIGHTS OFFERING AND RELATED TRANSACTIONS        
Percentage of whole subscription right for each share of common stock owned       34.20%
Number of shares entitled to purchase for each whole subscription right       1
Share price (in dollars per share)     $ 1.75 $ 2.00
Number of shares issued     9,200,000 115,377
Proceeds from issuance of common stock $ 16,331,000 $ 13,419,000 $ 15,000,000 $ 230,754
Commission and other offering expenses     1,100,000  
Portion of the proceeds used to pay down borrowings under the Credit Facility     $ 10,400,000  
XML 26 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
Current assets:      
Cash and equivalents $ 666,000 $ 4,513,000 $ 12,853,000
Certificates of deposit - restricted     2,250,000
Receivables, net 3,060,000 2,806,000 2,299,000
Income tax receivable     59,000
Inventories, net 24,398,000 24,941,000 20,691,000
Prepaid expenses and other current assets 1,922,000 1,272,000 1,679,000
Total current assets 30,046,000 33,532,000 39,831,000
Equipment and leasehold improvements, net 19,769,000 18,221,000 19,933,000
Intangible assets, net 102,000 102,000 102,000
Other assets 1,158,000 1,384,000 636,000
Total assets 51,075,000 53,239,000 60,502,000
Current liabilities:      
Book overdraft 1,550,000    
Accounts payable 12,224,000 10,856,000 6,671,000
Accrued compensation 3,176,000 4,317,000 3,802,000
Accrued liabilities 11,135,000 11,197,000 10,068,000
Total current liabilities 28,085,000 26,370,000 20,541,000
Other liabilities 7,959,000 8,818,000 9,508,000
Commitments and contingencies         
STOCKHOLDERS' EQUITY      
Common stock, par value $.01; authorized, 40,000,000 shares; issued 34,857,023, 25,220,092 and 25,268,260 348,000 252,000 253,000
Additional paid-in capital 76,445,000 60,830,000 60,358,000
Retained earnings (accumulated deficit) (21,967,000) (3,236,000) 9,637,000
Treasury stock 3,682,199 shares, at cost (39,795,000) (39,795,000) (39,795,000)
Total stockholders' equity 15,031,000 18,051,000 30,453,000
Total liabilities and stockholders' equity $ 51,075,000 $ 53,239,000 $ 60,502,000
XML 27 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENTATION
6 Months Ended
Jun. 28, 2014
BASIS OF PRESENTATION  
BASIS OF PRESENTATION

1.              BASIS OF PRESENTATION

 

References to the “Company,” “we,” “us,” or “our” mean Cache, Inc., together with its wholly-owned subsidiaries, except as expressly indicated or unless the context otherwise requires. Under the trade name “Cache”, we operated 239 women’s apparel specialty stores, as of June 28, 2014.

 

The following unaudited condensed consolidated financial statements have been prepared pursuant to the rules and regulations of the Securities and Exchange Commission. Certain information and note disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to those rules and regulations, although the Company believes that the disclosures made are adequate to make the information not misleading. The accompanying condensed consolidated financial statements include all known adjustments necessary for a fair presentation of the results of the interim periods as required by accounting principles generally accepted in the United States. These adjustments consist primarily of normal recurring accruals and estimates that impact the carrying value of assets and liabilities. Actual results may materially differ from these estimates.

 

These condensed consolidated financial statements should be read in conjunction with the Company’s audited consolidated financial statements for the year ended December 28, 2013, which are included in the Company’s Annual Report on Form 10-K with respect to such period filed with the Securities and Exchange Commission. All significant intercompany accounts and transactions have been eliminated. The December 28, 2013 condensed consolidated balance sheet amounts are derived from the Company’s audited consolidated financial statements as adjusted (see below).

 

The Company’s fiscal year (“fiscal year” or “fiscal”) refers to the applicable 52- or 53-week period. The year ended December 28, 2013 (“fiscal 2013”) was a 52-week year and the year ending January 3, 2015 (“fiscal 2014”) is a 53-week year.

 

Change in Accounting Principle

 

Effective December 29, 2013, the Company elected to change its method of accounting for its retail finished goods inventory from the retail inventory method (“RIM”) to the lower of cost or market, with cost being determined on the first-in, first-out method. The RIM method does not track the valuation of inventory and the cost of goods sold at the individual item level, but instead calculates the valuation of inventory and cost of goods sold by applying a calculated cost to retail relationship to the value of retail inventories and cost of goods sold. The Company believes the method of tracking cost at the individual item level is a preferable method as it matches the actual merchandise costs with the respective revenues and is the method most widely used in the retail industry.  The cumulative effect of this accounting change as of December 30, 2012 was decreases of $737,000 in inventories, $123,000 in deferred tax assets and $860,000 in retained earnings.  The effect of this accounting change on the Company’s financial statements as of December 28, 2013 and June 29, 2013 and for the 26- and 13-week periods ended June 29, 2013 are presented below.

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

December 28,

 

 

 

December 28,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Balance Sheets

 

 

 

 

 

 

 

 

 

 

 

 

 

Inventories, net

 

$

23,673,000

 

$

1,268,000

 

$

24,941,000

 

$

19,321,000

 

$

1,370,000

 

$

20,691,000

 

Retained earnings (accumulated deficit)

 

(4,504,000

)

1,268,000

 

(3,236,000

)

8,267,000

 

1,370,000

 

9,637,000

 

 

 

 

26-Weeks ended

 

13-Weeks ended

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Operations

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

$

76,361,000

 

$

(2,107,000

)

$

74,254,000

 

$

39,247,000

 

$

(1,552,000

)

$

37,695,000

 

Loss before income taxes

 

(11,416,000

)

2,107,000

 

(9,309,000

)

(3,138,000

)

1,552,000

 

(1,586,000

)

Income tax provision

 

10,247,000

 

(123,000

)

10,124,000

 

20,000

 

 

20,000

 

Net loss

 

(21,663,000

)

2,230,000

 

(19,433,000

)

(3,158,000

)

1,552,000

 

(1,606,000

)

Basic loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

Diluted loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

 

 

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Cash Flows

 

 

 

 

 

 

 

Net loss

 

$

(21,633,000

)

$

2,230,000

 

$

(19,433,000

)

Deferred income taxes

 

10,201,000

 

(123,000

)

10,078,000

 

Inventories

 

1,925,000

 

(2,107,000

)

(182,000

)

 

XML 28 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUIPMENT AND LEASEHOLD IMPROVEMENTS (Details) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
Equipment and Leasehold Improvements      
Equipment and leasehold improvements, gross $ 87,684,000 $ 86,830,000 $ 87,954,000
Less: accumulated depreciation and amortization (67,915,000) (68,609,000) (68,021,000)
Equipment and leasehold improvements, net 19,769,000 18,221,000 19,933,000
Leasehold improvements
     
Equipment and Leasehold Improvements      
Equipment and leasehold improvements, gross 45,930,000 45,899,000 47,363,000
Furniture, fixtures and equipment
     
Equipment and Leasehold Improvements      
Equipment and leasehold improvements, gross $ 41,754,000 $ 40,931,000 $ 40,591,000
XML 29 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCK-BASED COMPENSATION (Tables)
6 Months Ended
Jun. 28, 2014
STOCK-BASED COMPENSATION  
Schedule of assumptions used in estimation of fair value of each option grant on the date of grant using the Black Scholes option valuation model

 

 

Expected dividend rate

 

$

0.00

 

Expected volatility

 

50.72

%

Risk free interest rate

 

0.41

%

Expected lives (years)

 

3.00

 

 

XML 30 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACCRUED LIABILITIES (Details) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
ACCRUED LIABILITIES      
Gift cards, merchandise credit cards and other customer deposits and credits $ 4,421,000 $ 4,670,000 $ 4,054,000
Operating expenses 3,008,000 2,395,000 2,600,000
Taxes, including income taxes 1,730,000 2,418,000 1,874,000
Group insurance 568,000 556,000 572,000
Sales return reserve 336,000 660,000 432,000
Fixed asset additions 822,000 262,000 321,000
Deferred income - co-branded credit card program 250,000 236,000 215,000
Accrued liabilities $ 11,135,000 $ 11,197,000 $ 10,068,000
XML 31 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
RECEIVABLES (Tables)
6 Months Ended
Jun. 28, 2014
RECEIVABLES  
Schedule of accounts receivable of the entity

 

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Construction allowances

 

$

205,000

 

$

430,000

 

$

216,000

 

Third party credit cards

 

1,535,000

 

1,674,000

 

1,404,000

 

Other

 

1,320,000

 

702,000

 

679,000

 

 

 

$

3,060,000

 

$

2,806,000

 

$

2,299,000

 

 

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STOCK-BASED COMPENSATION
6 Months Ended
Jun. 28, 2014
STOCK-BASED COMPENSATION  
STOCK-BASED COMPENSATION

2.              STOCK-BASED COMPENSATION

 

Stock-based compensation expense for all stock-based awards programs, including grants of stock options, is recorded in accordance with “Compensation-Stock Compensation”, Topic 718 of the Financial Accounting Standards Board Accounting Standards Codification (“FASB ASC”). During the 26- and 13-week periods ended June 28, 2014, the Company recognized approximately $564,000 and $254,000, respectively, in stock-based compensation expense, and for the same periods ended June 29, 2013, the Company recognized approximately $214,000 and $77,000, respectively.  The grant date fair value for stock options is calculated using the Black-Scholes option valuation model.

 

On February 5, 2013, the Company granted Jay Margolis (its Chief Executive Officer and Chairman of the Board) time-based stock options to purchase 1,000,000 shares of the Company’s common stock at an exercise price of $3.34 which had a weighted average grant date fair value of $1.15.  These options vest in equal installments on the first, second and third anniversary of the grant date. No excess tax benefits were recognized from the exercise of stock options during the second fiscal quarters of 2014 and 2013.

 

The following assumptions were used during the 26-week period ended June 29, 2013:

 

Expected dividend rate

 

$

0.00

 

Expected volatility

 

50.72

%

Risk free interest rate

 

0.41

%

Expected lives (years)

 

3.00

 

 

During the first quarter of fiscal 2014 and fiscal 2013, 24,000 and 40,000 shares, respectively were issued as part of the independent board members’ compensation. The total fair value of the issued common stock in fiscal 2014 was approximately $115,000, of which approximately $58,000 and $29,000 were included in stock-based compensation expense for the 26- and 13-week periods ended June 28, 2014, respectively.  The total fair value of the issued common stock in fiscal 2013 was approximately $94,000, of which approximately $71,000 and $12,000 were included in stock-based compensation expense for the 26 and 13-week periods ended June 29, 2013, respectively. The remaining cost is recognized over the remainder of the respective fiscal years.

 

During the 26- and 13-week periods ended June 28, 2014, the Company granted restricted stock awards representing 348,000 and 277,000 shares, respectively, of the Company’s common stock, which had a weighted-average grant date fair value of $3.74 and $3.29 per share, respectively. A portion of these restricted stock awards will vest over a three-year period contingent on the Company meeting performance goals, and a portion will vest over the requisite service period.  Comparatively, during the 26- and 13-week period ended June 29, 2013, the Company granted restricted stock awards representing 255,000 shares of the Company’s common stock, which had a weighted-average grant date fair value of $3.81 per share. These restricted shares will contingently vest over a three-year period based on the Company meeting performance goals, and a portion will vest over the requisite service period.

XML 34 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
CONDENSED CONSOLIDATED BALANCE SHEETS      
Common stock, par value (in dollars per share) $ 0.01 $ 0.01 $ 0.01
Common stock, authorized shares 40,000,000 40,000,000 40,000,000
Common stock, issued shares 34,857,023 25,220,092 25,268,260
Treasury stock, shares 3,682,199 3,682,199 3,682,199
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INCOME TAXES
6 Months Ended
Jun. 28, 2014
INCOME TAXES  
INCOME TAXES

12.      INCOME TAXES

 

The Company accounts for income taxes in accordance with “Income Taxes”, Topic 740 of the FASB ASC. This guidance requires the Company to recognize deferred tax liabilities and assets for the expected future tax consequences of events that have been recognized in the Company’s financial statements or tax returns. Under this method, deferred tax liabilities and assets are determined based on the difference between the financial statement carrying amounts and tax bases of assets and liabilities, using applicable tax rates for the years in which the differences are expected to reverse.  At December 28, 2013, the Company had federal net operating loss (“NOL”) carryforwards of approximately $55.7 million, expiring from 2030 to 2033 of which the Company recorded a full valuation allowance against the deferred tax assets associated with these NOL carryforwards.  During the 26-week period ended June 28, 2014 the Company recorded no income tax benefit as a result of a full valuation allowance.  During the 26-week period ended June 29, 2013, the Company recorded income tax expense of $10.1 million as a result of a full valuation allowance recorded against its remaining net deferred tax assets.  Federal valuation allowances totaled $30.2 million, $23.9 million and $19.6 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively.  State valuation allowances totaled $5.3 million, $4.5 million and $3.9 million at June 28, 2014, December 28, 2013 and June 29, 2013, respectively. The valuation allowances represent full valuation allowances for the possible non-utilization of net operating loss carry-forwards which may not be realized in future periods before they expire.

 

When tax contingencies become probable, a liability for the contingent amount is estimated based upon the Company’s best estimation of the potential exposures associated with the timing and amount of deductions, as well as various tax filing positions. As of June 28, 2014, December 28, 2013 and June 29, 2013, the Company had no reserve recorded for potential tax contingencies.

XML 37 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
6 Months Ended
Jun. 28, 2014
Aug. 07, 2014
Document and Entity Information    
Entity Registrant Name CACHE INC  
Entity Central Index Key 0000350199  
Document Type 10-Q  
Document Period End Date Jun. 28, 2014  
Amendment Flag false  
Current Fiscal Year End Date --01-03  
Entity Current Reporting Status Yes  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock, Shares Outstanding   31,083,159
Document Fiscal Year Focus 2014  
Document Fiscal Period Focus Q2  
XML 38 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
RIGHTS AND PUBLIC OFFERING OF STOCK
6 Months Ended
Jun. 28, 2014
RIGHTS AND PUBLIC OFFERING OF STOCK  
RIGHTS AND PUBLIC OFFERING OF STOCK

13.   RIGHTS AND PUBLIC OFFERING OF STOCK

 

On May 9, 2014, the Company commenced a rights offering with its existing stockholders, which granted each stockholder the right to  receive approximately 34.2%  of a whole subscription right for each share of common stock owned by such stockholder.  Each whole subscription right entitled the stockholder to purchase one share of common stock at $2.00 per share.  The rights offering resulted in the issuance of 115,377 shares of the Company’s common stock for gross proceeds of $230,754. On June 2, 2014, the Company raised approximately $15.0 million (net of $1.1 million in commission and other offering expenses) from the sale of 9.2 million shares of the Company’s common stock in an underwritten public offering at a price per share of $1.75.   A portion of the proceeds of the public offering (approximately $10.4 million) were used to pay down borrowings under the Credit Facility.

XML 39 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
3 Months Ended 6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
Jun. 28, 2014
Jun. 29, 2013
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS        
Net sales $ 54,101,000 $ 60,122,000 $ 101,505,000 $ 113,632,000
Cost of sales, including buying and occupancy 37,029,000 37,695,000 71,501,000 74,254,000
Gross profit 17,072,000 22,427,000 30,004,000 39,378,000
Expenses:        
Store operating expenses 19,744,000 18,332,000 37,815,000 36,835,000
General and administrative expenses 4,715,000 4,734,000 10,104,000 9,415,000
Employee separation charges 275,000 956,000 409,000 2,454,000
Total expenses 24,734,000 24,022,000 48,328,000 48,704,000
Operating loss (7,662,000) (1,595,000) (18,324,000) (9,326,000)
Other income (expense):        
Amortization of deferred financing cost (54,000)   (108,000)  
Interest income   9,000 1,000 17,000
Interest expense (83,000)   (125,000)  
Total other income (expense), net (137,000) 9,000 (232,000) 17,000
Loss before income taxes (7,799,000) (1,586,000) (18,556,000) (9,309,000)
Income tax provision 125,000 20,000 175,000 10,124,000
Net loss $ (7,924,000) $ (1,606,000) $ (18,731,000) $ (19,433,000)
Basic loss per share (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)
Diluted loss per share (in dollars per share) $ (0.33) $ (0.09) $ (0.83) $ (1.23)
Basic weighted average shares outstanding (in shares) 24,078,000 18,378,000 22,604,000 15,769,000
Diluted weighted average shares outstanding (in shares) 24,078,000 18,378,000 22,604,000 15,769,000
XML 40 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
INVENTORIES
6 Months Ended
Jun. 28, 2014
INVENTORIES  
INVENTORIES

7.              INVENTORIES

 

 

 

 

 

As adjusted

 

As adjusted

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

 

 

 

 

(See Note 1)

 

(See Note 1)

 

Raw materials

 

$

1,269,000

 

$

935,000

 

$

1,843,000

 

Work in process

 

1,906,000

 

1,918,000

 

1,839,000

 

Finished goods

 

21,223,000

 

22,088,000

 

17,009,000

 

 

 

$

24,398,000

 

$

24,941,000

 

$

20,691,000

 

 

As discussed in Note 1 the Company changed its accounting for finished goods inventory to the lower of cost or market, with cost being determined on the first-in, first-out method. Inventories other than finished goods at retail stores, called production inventory, primarily consists of piece goods, trim and work-in-process. The Company has historically and continues to value its production inventory at the lower of cost or market value using first-in-first-out method. Market value is determined for our finished goods inventory and production inventory based on an estimate of the net realizable value. The Company determines net realizable value based on an analysis of historical results, age, obsolescence, potential use, market conditions, and estimates regarding future selling prices. Based on this analysis, the Company records an adjustment for any decline in its value. If the actual results or conditions are different than those projected by management, future period gross margin rates may be unfavorably or favorably affected.

XML 41 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
RECEIVABLES
6 Months Ended
Jun. 28, 2014
RECEIVABLES  
RECEIVABLES

6.              RECEIVABLES

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Construction allowances

 

$

205,000

 

$

430,000

 

$

216,000

 

Third party credit cards

 

1,535,000

 

1,674,000

 

1,404,000

 

Other

 

1,320,000

 

702,000

 

679,000

 

 

 

$

3,060,000

 

$

2,806,000

 

$

2,299,000

 

 

At June 29, 2013, the Company’s income tax receivable was $59,000 which resulted from quarterly federal and state tax estimated payments.

XML 42 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIC AND DILUTED EARNINGS PER SHARE (Tables)
6 Months Ended
Jun. 28, 2014
BASIC AND DILUTED EARNINGS PER SHARE  
Schedule of computation of loss per common share

 

 

 

 

26-Weeks Ended

 

13-Weeks Ended

 

 

 

June 28,

 

June 29,

 

June 28,

 

June 29,

 

 

 

2014

 

2013

 

2014

 

2013

 

Net loss

 

$

(18,731,000

)

$

(19,433,000

)

$

(7,924,000

)

$

(1,606,000

)

Basic weighted number of average shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

Incremental shares from assumed issuances of stock options and restricted stock awards

 

 

 

 

 

Diluted weighted average number of shares outstanding

 

22,604,000

 

15,769,000

 

24,078,000

 

18,378,000

 

 

 

 

 

 

 

 

 

 

 

Net loss per share - Basic

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

- Diluted

 

$

(0.83

)

$

(1.23

)

$

(0.33

)

$

(0.09

)

 

XML 43 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES
6 Months Ended
Jun. 28, 2014
COMMITMENTS AND CONTINGENCIES  
COMMITMENTS AND CONTINGENCIES

14.   COMMITMENTS AND CONTINGENCIES

 

The Company is exposed to a number of asserted and unasserted potential claims. Management does not believe it is reasonably possible that resolution of these matters will result in a material loss.

XML 44 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER LIABILITIES
6 Months Ended
Jun. 28, 2014
OTHER LIABILITIES  
OTHER LIABILITIES

10.       OTHER LIABILITIES

 

 

 

June 28,
2014

 

December 28,
2013

 

June 29,
2013

 

Deferred rent

 

$

6,790,000

 

$

7,525,000

 

$

7,891,000

 

Deferred income — co-branded credit card program

 

1,169,000

 

1,218,000

 

1,218,000

 

Severance

 

 

75,000

 

399,000

 

 

 

$

7,959,000

 

$

8,818,000

 

$

9,508,000

 

 

XML 45 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUIPMENT AND LEASEHOLD IMPROVEMENTS
6 Months Ended
Jun. 28, 2014
EQUIPMENT AND LEASEHOLD IMPROVEMENTS  
EQUIPMENT AND LEASEHOLD IMPROVEMENTS

8.              EQUIPMENT AND LEASEHOLD IMPROVEMENTS

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Leasehold improvements

 

$

45,930,000

 

$

45,899,000

 

$

47,363,000

 

Furniture, fixtures and equipment

 

41,754,000

 

40,931,000

 

40,591,000

 

 

 

87,684,000

 

86,830,000

 

87,954,000

 

Less: accumulated depreciation and amortization

 

(67,915,000

)

(68,609,000

)

(68,021,000

)

 

 

$

19,769,000

 

$

18,221,000

 

$

19,933,000

 

 

XML 46 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACCRUED LIABILITIES
6 Months Ended
Jun. 28, 2014
ACCRUED LIABILITIES  
ACCRUED LIABILITIES

9.              ACCRUED LIABILITIES

 

 

 

June 28,

 

December 28,

 

June29,

 

 

 

2014

 

2013

 

2013

 

Gift cards, merchandise credit cards and other customer deposits and credits

 

$

4,421,000

 

$

4,670,000

 

$

4,054,000

 

Operating expenses

 

3,008,000

 

2,395,000

 

2,600,000

 

Taxes, including income taxes

 

1,730,000

 

2,418,000

 

1,874,000

 

Group insurance

 

568,000

 

556,000

 

572,000

 

Sales return reserve

 

336,000

 

660,000

 

432,000

 

Fixed asset additions

 

822,000

 

262,000

 

321,000

 

Deferred income — co-branded credit card program

 

250,000

 

236,000

 

215,000

 

 

 

$

11,135,000

 

$

11,197,000

 

$

10,068,000

 

 

XML 47 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
CREDIT FACILITY
6 Months Ended
Jun. 28, 2014
CREDIT FACILITY  
CREDIT FACILITY

11.       CREDIT FACILITY

 

The Company had a $3.0 million credit facility with Bank of America which expired on May 31, 2013. The agreement allowed the Company to issue letters of credit up to $3.0 million and was collateralized by a security interest in various certificates of deposit held by the Company.  These certificates of deposit collateralized against this line of credit are reported as restricted funds.

 

On July 25, 2013, the Company entered into a new five year credit agreement (“Credit Agreement”) with Wells Fargo Bank, National Association (the “Bank”). The credit facility (“Credit Facility”) provides the Company with a line of credit of $25.0 million for short term borrowings and letters of credit with a sublimit of $5.0 million. Short term borrowings are limited to the lower of the line of credit available or the borrowing base available as defined in the Credit Agreement.  Borrowings under the Credit Facility are due and payable on July 25, 2018, at which time the facility terminates.

 

Borrowings under the Credit Facility bear interest, at the Company’s option, either at the London interbank offering rate (“LIBOR”) Margin or at the Base Rate Margin. LIBOR Margin is equal to LIBOR plus a margin of 1.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base. When the average daily availability is less than 50% of the borrowing base, the LIBOR Margin is equal to LIBOR plus a margin of 1.75% per annum. Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.50% per annum when the average daily availability is equal to or greater than 50% of the borrowing base.  When the average daily availability is less than 50% the Base Rate Margin is equal to the base rate as defined below, plus a margin of 0.75% per annum.  The base rate, as defined in the Credit Agreement, is a fluctuating rate per annum equal to the highest of (a) the U. S. federal funds rate plus a margin of 0.50% per annum, (b) the adjusted LIBOR rate plus a margin of 1.00% or (c) the Bank prime rate in effect at that time.  The Company had outstanding letters of $1.2 million under its Credit Facility and no borrowings as of June 28, 2014.

 

The obligations of the Company under the Credit Facility are secured by liens on all assets of the Company. The Credit Agreement contains various customary covenants, including, but not limited to, limitations on indebtedness, liens, investments, dividends or other capital distributions, purchases or redemptions of stock, sales of assets or subsidiary stock, transactions with affiliates, line of business and accelerated payments of certain obligations and a minimum availability requirement.

 

The Credit Agreement contains  provisions for events of default customary with similar financings. Upon the occurrence of an event of default, the outstanding obligations under the Credit Facility may be accelerated and become due and payable immediately. In addition, if a certain change of control event occurs with respect to any loan party, the Lenders have the right to require the Company to repay any outstanding loans under the Credit Facility.

XML 48 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
INVENTORIES (Details) (USD $)
Jun. 28, 2014
Dec. 28, 2013
Jun. 29, 2013
INVENTORIES      
Raw materials $ 1,269,000 $ 935,000 $ 1,843,000
Work-in-process 1,906,000 1,918,000 1,839,000
Finished goods 21,223,000 22,088,000 17,009,000
Inventories, net $ 24,398,000 $ 24,941,000 $ 20,691,000
XML 49 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENTATION (Tables)
6 Months Ended
Jun. 28, 2014
BASIS OF PRESENTATION  
Schedule of effect of accounting change on Company's financial statements

 

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

December 28,

 

 

 

December 28,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Balance Sheets

 

 

 

 

 

 

 

 

 

 

 

 

 

Inventories, net

 

$

23,673,000

 

$

1,268,000

 

$

24,941,000

 

$

19,321,000

 

$

1,370,000

 

$

20,691,000

 

Retained earnings (accumulated deficit)

 

(4,504,000

)

1,268,000

 

(3,236,000

)

8,267,000

 

1,370,000

 

9,637,000

 

 

 

 

26-Weeks ended

 

13-Weeks ended

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Operations

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

$

76,361,000

 

$

(2,107,000

)

$

74,254,000

 

$

39,247,000

 

$

(1,552,000

)

$

37,695,000

 

Loss before income taxes

 

(11,416,000

)

2,107,000

 

(9,309,000

)

(3,138,000

)

1,552,000

 

(1,586,000

)

Income tax provision

 

10,247,000

 

(123,000

)

10,124,000

 

20,000

 

 

20,000

 

Net loss

 

(21,663,000

)

2,230,000

 

(19,433,000

)

(3,158,000

)

1,552,000

 

(1,606,000

)

Basic loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

Diluted loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

 

 

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Cash Flows

 

 

 

 

 

 

 

Net loss

 

$

(21,633,000

)

$

2,230,000

 

$

(19,433,000

)

Deferred income taxes

 

10,201,000

 

(123,000

)

10,078,000

 

Inventories

 

1,925,000

 

(2,107,000

)

(182,000

)

 

XML 50 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUIPMENT AND LEASEHOLD IMPROVEMENTS (Tables)
6 Months Ended
Jun. 28, 2014
EQUIPMENT AND LEASEHOLD IMPROVEMENTS  
Schedule of equipment and leasehold improvements

 

 

 

 

June 28,

 

December 28,

 

June 29,

 

 

 

2014

 

2013

 

2013

 

Leasehold improvements

 

$

45,930,000

 

$

45,899,000

 

$

47,363,000

 

Furniture, fixtures and equipment

 

41,754,000

 

40,931,000

 

40,591,000

 

 

 

87,684,000

 

86,830,000

 

87,954,000

 

Less: accumulated depreciation and amortization

 

(67,915,000

)

(68,609,000

)

(68,021,000

)

 

 

$

19,769,000

 

$

18,221,000

 

$

19,933,000

 

 

XML 51 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
6 Months Ended
Jun. 28, 2014
Jun. 29, 2013
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net loss $ (18,731,000) $ (19,433,000)
Adjustments to reconcile net loss to net cash used in operating activities:    
Depreciation and amortization 3,391,000 3,371,000
Stock-based compensation 564,000 214,000
Deferred income taxes   10,078,000
Gift card breakage (112,000) (120,000)
Amortization of deferred income for co-branded credit card (123,000) (275,000)
Amortization of deferred rent (835,000) (681,000)
Amortization of deferred financing costs 108,000  
Change in assets and liabilities:    
Decrease (increase) in receivables and income tax receivables (254,000) 26,000
Decrease (increase) in inventories 543,000 (182,000)
Decrease (increase) in prepaid expenses and other current assets (475,000) 218,000
Increase (decrease) in accounts payable 1,368,000 (5,726,000)
Increase (decrease) in accrued liabilities, accrued compensation and other liabilities (1,718,000) 1,426,000
Net cash used in operating activities (16,274,000) (11,084,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Purchase of marketable securities   (2,000,000)
Maturities of marketable securities   5,013,000
Certificates of deposit-restricted   750,000
Purchase of equipment and leasehold improvements (4,379,000) (3,570,000)
Net cash provided by (used in) investing activities (4,379,000) 193,000
CASH FLOWS FROM FINANCING ACTIVITIES:    
Book overdraft 1,550,000  
Proceeds from the issuance of common stock 16,331,000 13,419,000
Payment of issuance costs (1,075,000) (1,804,000)
Payments of deferred financing costs   (231,000)
Net cash provided by financing activities 16,806,000 11,384,000
Net increase (decrease) in cash and equivalents (3,847,000) 493,000
Cash and equivalents, at beginning of period 4,513,000 12,360,000
Cash and equivalents, at end of period 666,000 12,853,000
Supplemental disclosure of cash flow information:    
Income taxes paid 125,000 115,000
Interest paid 125,000  
Supplemental disclosure of non-cash investing and financing activities:    
Accrued fixed asset additions 822,000 321,000
Accrued issuance costs 166,000 148,000
Accrued deferred financing costs   136,000
Prepaid stock-based compensation $ 57,000 $ 24,000
XML 52 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENT
6 Months Ended
Jun. 28, 2014
FAIR VALUE MEASUREMENT  
FAIR VALUE MEASUREMENT

5.              FAIR VALUE MEASUREMENT

 

The carrying amounts of certificates of deposit and accounts receivable approximate their estimated fair values due to their short-term nature.

XML 53 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACCRUED LIABILITIES (Tables)
6 Months Ended
Jun. 28, 2014
ACCRUED LIABILITIES  
Schedule of accrued liabilities

 

 

 

 

June 28,

 

December 28,

 

June29,

 

 

 

2014

 

2013

 

2013

 

Gift cards, merchandise credit cards and other customer deposits and credits

 

$

4,421,000

 

$

4,670,000

 

$

4,054,000

 

Operating expenses

 

3,008,000

 

2,395,000

 

2,600,000

 

Taxes, including income taxes

 

1,730,000

 

2,418,000

 

1,874,000

 

Group insurance

 

568,000

 

556,000

 

572,000

 

Sales return reserve

 

336,000

 

660,000

 

432,000

 

Fixed asset additions

 

822,000

 

262,000

 

321,000

 

Deferred income — co-branded credit card program

 

250,000

 

236,000

 

215,000

 

 

 

$

11,135,000

 

$

11,197,000

 

$

10,068,000

 

 

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CREDIT FACILITY (Details) (USD $)
In Millions, unless otherwise specified
0 Months Ended 0 Months Ended
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
Jun. 28, 2014
Credit Facility
Wells Fargo Bank
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
LIBOR
Average daily availability equal to or greater than 50% of the borrowing base
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
LIBOR
Average daily availability less than 50% of the borrowing base
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
Base rate
Average daily availability equal to or greater than 50% of the borrowing base
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
Base rate
Average daily availability less than 50% of the borrowing base
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
U. S. federal funds rate
Jul. 25, 2013
Credit Facility
Wells Fargo Bank
Adjusted LIBOR rate
May 31, 2013
Letters of Credit
Bank of America
May 31, 2013
Letters of Credit
Bank of America
Maximum
Jul. 25, 2013
Letters of Credit
Wells Fargo Bank
Bank debt                      
Borrowing capacity $ 25.0               $ 3.0   $ 5.0
Letters of credit collateralized by security interest in certificates of deposit                   3.0  
Term of credit facility 5 years                    
Reference rate     LIBOR LIBOR base rate base rate federal funds rate adjusted LIBOR rate      
Interest rate margin (as a percent)     1.50% 1.75% 0.50% 0.75% 0.50% 1.00%      
Amount of outstanding letters of credit   1.2                  
Amount of outstanding borrowings   $ 0                  
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BASIS OF PRESENTATION (Policies)
6 Months Ended
Jun. 28, 2014
BASIS OF PRESENTATION  
Basis of Presentation

References to the “Company,” “we,” “us,” or “our” mean Cache, Inc., together with its wholly-owned subsidiaries, except as expressly indicated or unless the context otherwise requires. Under the trade name “Cache”, we operated 239 women’s apparel specialty stores, as of June 28, 2014.

 

The following unaudited condensed consolidated financial statements have been prepared pursuant to the rules and regulations of the Securities and Exchange Commission. Certain information and note disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to those rules and regulations, although the Company believes that the disclosures made are adequate to make the information not misleading. The accompanying condensed consolidated financial statements include all known adjustments necessary for a fair presentation of the results of the interim periods as required by accounting principles generally accepted in the United States. These adjustments consist primarily of normal recurring accruals and estimates that impact the carrying value of assets and liabilities. Actual results may materially differ from these estimates.

 

These condensed consolidated financial statements should be read in conjunction with the Company’s audited consolidated financial statements for the year ended December 28, 2013, which are included in the Company’s Annual Report on Form 10-K with respect to such period filed with the Securities and Exchange Commission. All significant intercompany accounts and transactions have been eliminated. The December 28, 2013 condensed consolidated balance sheet amounts are derived from the Company’s audited consolidated financial statements as adjusted (see below).

Fiscal Reporting Period
The Company’s fiscal year (“fiscal year” or “fiscal”) refers to the applicable 52- or 53-week period. The year ended December 28, 2013 (“fiscal 2013”) was a 52-week year and the year ending January 3, 2015 (“fiscal 2014”) is a 53-week year.
Inventories

Effective December 29, 2013, the Company elected to change its method of accounting for its retail finished goods inventory from the retail inventory method (“RIM”) to the lower of cost or market, with cost being determined on the first-in, first-out method. The RIM method does not track the valuation of inventory and the cost of goods sold at the individual item level, but instead calculates the valuation of inventory and cost of goods sold by applying a calculated cost to retail relationship to the value of retail inventories and cost of goods sold. The Company believes the method of tracking cost at the individual item level is a preferable method as it matches the actual merchandise costs with the respective revenues and is the method most widely used in the retail industry.  The cumulative effect of this accounting change as of December 30, 2012 was decreases of $737,000 in inventories, $123,000 in deferred tax assets and $860,000 in retained earnings.  The effect of this accounting change on the Company’s financial statements as of December 28, 2013 and June 29, 2013 and for the 26- and 13-week periods ended June 29, 2013 are presented below.

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

December 28,

 

 

 

December 28,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Balance Sheets

 

 

 

 

 

 

 

 

 

 

 

 

 

Inventories, net

 

$

23,673,000

 

$

1,268,000

 

$

24,941,000

 

$

19,321,000

 

$

1,370,000

 

$

20,691,000

 

Retained earnings (accumulated deficit)

 

(4,504,000

)

1,268,000

 

(3,236,000

)

8,267,000

 

1,370,000

 

9,637,000

 

 

 

 

26-Weeks ended

 

13-Weeks ended

 

 

 

As reported

 

 

 

As adjusted

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Operations

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of sales, including buying and occupancy

 

$

76,361,000

 

$

(2,107,000

)

$

74,254,000

 

$

39,247,000

 

$

(1,552,000

)

$

37,695,000

 

Loss before income taxes

 

(11,416,000

)

2,107,000

 

(9,309,000

)

(3,138,000

)

1,552,000

 

(1,586,000

)

Income tax provision

 

10,247,000

 

(123,000

)

10,124,000

 

20,000

 

 

20,000

 

Net loss

 

(21,663,000

)

2,230,000

 

(19,433,000

)

(3,158,000

)

1,552,000

 

(1,606,000

)

Basic loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

Diluted loss per share

 

(1.37

)

 

 

(1.23

)

(0.17

)

 

 

(0.09

)

 

 

 

As reported

 

 

 

As adjusted

 

 

 

June 29,

 

 

 

June 29,

 

 

 

2013

 

Adjustments

 

2013

 

Condensed Consolidated Statement of Cash Flows

 

 

 

 

 

 

 

Net loss

 

$

(21,633,000

)

$

2,230,000

 

$

(19,433,000

)

Deferred income taxes

 

10,201,000

 

(123,000

)

10,078,000

 

Inventories

 

1,925,000

 

(2,107,000

)

(182,000

)