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Note 2. Cash, Cash Equivalents and Marketable Securities (Tables)
9 Months Ended
Nov. 02, 2013
Disclosure Text Block Supplement [Abstract]  
Schedule of Cash, Cash Equivalents and Investments [Table Text Block]
   

November 2, 2013

   

February 2, 2013

 
   

Book Value

   

Net Unrealized

Gains (Losses)

   

Fair Value

   

Book Value

   

Net Unrealized

Gains (Losses)

   

Fair Value

 

Corporate bonds

  $ 33,841     $ 342     $ 34,183     $ 30,642     $ 537     $ 31,179  

Money market funds

    8,377       -       8,377       21,032       -       21,032  

Municipal bonds and notes

    509       8       517       515       14       529  

Fixed income mutual funds

    1,261       26       1,287       1,259       20       1,279  

Total cash equivalents and marketable securities

  $ 43,988     $ 376     $ 44,364     $ 53,448     $ 571     $ 54,019  
                                                 

Cash on hand held in the United States

                    1,954                       1,441  

Cash on hand held overseas

                    39,994                       27,466  

Total cash on hand

                    41,948                       28,907  
                                                 

Total cash, cash equivalents and marketable securities

                  $ 86,312                     $ 82,926  
                                                 

Reported as:

                                               

Cash and cash equivalents

                    50,326                       51,218  

Short-term marketable securities

                    11,412                       17,455  

Long-term marketable securities

                    24,574                       14,253  
                    $ 86,312                     $ 82,926  
Investments Classified by Contractual Maturity Date [Table Text Block]
   

November 2, 2013

   

February 2, 2013

 
   

Book Value

   

Fair Value

   

Book Value

   

Fair Value

 

Due in one year or less

  $ 19,704     $ 19,790     $ 39,595     $ 39,766  

Due in greater than one year

    24,284       24,574       13,853       14,253  

Total

  $ 43,988     $ 44,364     $ 53,448     $ 54,019