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Fair Value (Assets and Liabilities at Fair Value) (Details) - USD ($)
Aug. 03, 2019
Feb. 02, 2019
Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Cash equivalents (1) [1] $ 25,499,000 $ 89,998,000
Derivative instruments (2) [2] 5,457,000 2,162,000
Rabbi Trust assets (3) [3] 107,467,000 105,882,000
Restricted cash equivalents (4) [4] 14,602,000 15,498,000
Total assets 153,025,000 213,540,000
Liabilities, Fair Value Disclosure [Abstract]    
Derivative instruments (2) [2] 349,000 332,000
Total liabilities 349,000 332,000
Level 1 | Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Cash equivalents (1) [1] 211,000 55,558,000
Derivative instruments (2) [2] 0 0
Rabbi Trust assets (3) [3] 1,000 5,000
Restricted cash equivalents (4) [4] 10,056,000 10,910,000
Total assets 10,268,000 66,473,000
Liabilities, Fair Value Disclosure [Abstract]    
Derivative instruments (2) [2] 0 0
Total liabilities 0 0
Level 2 | Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Cash equivalents (1) [1] 25,288,000 34,440,000
Derivative instruments (2) [2] 5,457,000 2,162,000
Rabbi Trust assets (3) [3] 107,466,000 105,877,000
Restricted cash equivalents (4) [4] 4,546,000 4,588,000
Total assets 142,757,000 147,067,000
Liabilities, Fair Value Disclosure [Abstract]    
Derivative instruments (2) [2] 349,000 332,000
Total liabilities 349,000 332,000
Level 3 | Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Cash equivalents (1) [1] 0 0
Derivative instruments (2) [2] 0 0
Rabbi Trust assets (3) [3] 0 0
Restricted cash equivalents (4) [4] 0 0
Total assets 0 0
Liabilities, Fair Value Disclosure [Abstract]    
Derivative instruments (2) [2] 0 0
Total liabilities 0 0
Term Loan Facility    
Liabilities, Fair Value Disclosure [Abstract]    
Gross borrowings outstanding, carrying amount 253,250,000 253,250,000
Gross borrowings outstanding, fair value 254,516,000 252,933,000
ABL Facility    
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Abstract]    
Credit facility, amount outstanding $ 0 $ 0
[1] Level 1 assets consist of investments in money market funds. Level 2 assets consist of time deposits.
[2] Level 2 assets and liabilities consist primarily of foreign currency exchange forward contracts.
[3] Level 1 assets consist of investments in money market funds. Level 2 assets consist of trust-owned life insurance policies.
[4]
Level 1 assets consist of investments in U.S. treasury bills and money market funds. Level 2 assets consist of time deposits.