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Debt (Tables)
12 Months Ended
Jan. 30, 2016
Debt Disclosure [Abstract]  
Schedule of interest rate on borrowings
The interest rate on borrowings and our commitment fee rate vary based on the maximum leverage ratio as follows:
 
Maximum Leverage Ratio:
 
Eurodollar Spread
 
ABR Spread
 
Commitment Fee Rate
Category 1:
< 2.25 to 1.00
 
1.25%
 
0.25%
 
0.20%
Category 2:
≥ 2.25 to 1.00 but
< 3.00 to 1.00
 
1.50%
 
0.50%
 
0.25%
Category 3:
≥ 3.00 to 1.00
 
1.75%
 
0.75%
 
0.30%
Schedule of Outstanding Debt
The following table provides details on our debt outstanding as of January 30, 2016 and January 31, 2015:
 
January 30, 2016
 
January 31, 2015
 
 
 
 
 
(in thousands)
Credit Agreement, net
$
92,219

 
$

Less: current portion
(10,000
)
 

Total long-term debt
$
82,219

 
$

The following table provides details on our debt outstanding as of January 30, 2016 and January 31, 2015:
 
January 30, 2016
 
January 31, 2015
 
 
 
 
 
(in thousands)
Credit Agreement, net
$
92,219

 
$

Less: current portion
(10,000
)
 

Total long-term debt
$
82,219

 
$

Schedule of Future Maturities
Aggregate future maturities of long-term debt are as follows:
FISCAL YEAR ENDING:
 
(in thousands)
 
January 28, 2017
$
7,500

February 3, 2018
16,250

February 2, 2019
15,000

February 1, 2020
15,000

January 30, 2021
38,750