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Note 2. Cash, Cash Equivalents and Marketable Securities (Tables)
12 Months Ended
Feb. 02, 2013
Schedule of Cash, Cash Equivalents and Investments [Table Text Block]
   
February 2, 2013
   
January 28, 2012
 
   
Book Value
   
Net Unrealized Gains (Losses)
   
Fair Value
   
Book Value
   
Net Unrealized Gains (Losses)
   
Fair Value
 
                                                 
Corporate bonds
  $ 30,642     $ 537     $ 31,179     $ 91,829     $ 192     $ 92,021  
Money market funds
    21,032       -       21,032       20,876       -       20,876  
Municipal bonds and notes
    515       14       529       1,668       19       1,687  
Fixed income mutual funds
    1,259       20       1,279       -       -       -  
Corporate commercial paper
    -       -       -       1,946       -       1,946  
US agency discount notes
    -       -       -       8,506       (4 )     8,502  
Total cash equivalents and marketable securities
  $ 53,448     $ 571     $ 54,019     $ 124,825     $ 207     $ 125,032  
                                                 
Cash on hand held in the United States
                    1,441                       1,030  
Cash on hand held overseas
                    27,466                       22,377  
Total cash on hand
                    28,907                       23,407  
Total cash, cash equivalents and marketable securities
            $ 82,926                     $ 148,439  
                                                 
Reported as:
                                               
Cash and cash equivalents
                    51,218                       44,283  
Short-term marketable securities
                    17,455                       42,134  
Long-term marketable securities
                    14,253                       62,022  
                    $ 82,926                     $ 148,439  
Investments Classified by Contractual Maturity Date [Table Text Block]
   
February 2, 2013
   
January 28, 2012
 
   
Book Value
 
Fair Value
   
Book Value
 
Fair Value
 
                                 
Due in one year or less
  $ 39,595     $ 39,767     $ 62,970     $ 63,010  
Due in greater than one year
    13,853       14,252       61,855       62,022  
Total
  $ 53,448     $ 54,019     $ 124,825     $ 125,032