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Supplemental Schedule of Cash Flows
3 Months Ended
May 01, 2011
Supplemental Schedule of Cash Flows [Abstract]  
SUPPLEMENTAL SCHEDULE OF CASH FLOWS
NOTE 10 — SUPPLEMENTAL SCHEDULE OF CASH FLOWS
     Supplemental cash flow information was as follows (in thousands):
                 
    Thirteen Weeks Ended
    May 1, 2011   May 2, 2010
Interest paid
  $ 14,499     $ 15,076  
Income taxes paid, net of refunds
    23,712       24,924  
Assets acquired using capital lease obligations
    6,965       14,085  
Accruals and accounts payable for capital expenditures
    17,329       14,822  
Dividends declared but unpaid
    14,174       11,833