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Debt (Tables)
3 Months Ended
May 03, 2019
Line of Credit Facility [Line Items]  
Schedule of Line of Credit Facilities [Table Text Block]
The following table summarizes the Company's borrowing availability under the ABL Facility:
(in thousands)
 
May 3, 2019
 
May 4, 2018
 
February 1, 2019
ABL Facility maximum borrowing
 
$
175,000

 
$
175,000

 
$
175,000

Outstanding letters of credit
 
11,203

 
15,500

 
21,111

Borrowing availability under ABL
 
$
163,797

 
$
159,500

 
$
153,889

Schedule of aggregate scheduled maturities
he Company's debt consisted of the following:
 
 
May 3, 2019
 
May 4, 2018
 
February 1, 2019
(in thousands)
 
Amount
 
Rate
 
Amount
 
Rate
 
Amount
 
Rate
Term Loan Facility, maturing April 4, 2021
 
$
389,250

(1) 
5.75
%
 
$
494,400

 
5.13
%
 
$
490,538

 
5.77
%
ABL Facility, maturing November 16, 2022
 

 
%
 

 
%
 

 
%
 
 
389,250

 
 
 
494,400

 
 
 
490,538

 
 
Less: Current maturities in Other current liabilities
 
5,150

 
 
 
5,150

 
 
 
5,150

 
 
Less: Unamortized debt issuance costs
 
2,596

 
 
 
3,951

 
 
 
2,935

 
 
Long-term debt, net
 
$
381,504

 
 
 
$
485,299

 
 
 
$
482,453