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Share-Based Compensation Plans (Tables)
12 Months Ended
Nov. 01, 2020
Share-based Payment Arrangement [Abstract]  
Schedule of Share-based Payment Award Activity
The following tables summarize the activities related to the Company’s share-based equity and liability awards for the fiscal year ended November 1, 2020 and November 3, 2019:
Number ofWeighted Average
Performance Share UnitsSharesGrant Date Fair Value
Outstanding at October 28, 2018276,396 $3.38 
     Granted (a) (b)377,833 $4.05 
     Forfeited(179,981)$3.61 
     Vested(97,262)$3.82 
Outstanding at November 3, 2019376,986 $3.90 
     Forfeited(40,311)$3.38 
     Vested (127,013)$4.04 
Outstanding at November 1, 2020209,662 $3.91 
(a) Includes the incremental issuance of shares related to the fiscal 2018 PSU grant.
(b) Includes the incremental shares for the first tranche of the fiscal 2019 PSU grant based on attainment of the fiscal 2019 EBITDA margin percentage goal that were issued upon vesting.

Number ofWeighted Average
Restricted Stock UnitsSharesGrant Date Fair Value
Outstanding at October 28, 2018582,831 $3.53 
     Granted516,968 $4.11 
     Forfeited(236,035)$3.73 
     Vested(196,682)$3.75 
Outstanding at November 3, 2019667,082 $3.86 
     Granted625,909 $1.09 
     Forfeited(4,387)$3.79 
     Vested(312,424)$3.90 
Outstanding at November 1, 2020976,180 $2.08 
Stock OptionsNumber of
shares
Weighted
average
exercise price
Weighted average
contractual life
(in years)
Aggregate
Intrinsic
Value
(in thousands)
Outstanding at October 28, 20181,600,040 $5.25 7.27$— 
     Exercised(200,000)$4.35 — $— 
Forfeited(335,972)$5.42 — $— 
     Expired(460,584)$5.36 — $— 
Outstanding at November 3, 2019603,484 $6.28 6.81$— 
Forfeited(60,615)$8.22 — $— 
    Expired (210,925)$6.59 — $— 
Outstanding at November 1, 2020331,944 $5.73 6.22
Unvested at November 1, 202044,394 $4.10 7.09
Exercisable at November 1, 2020287,550 $5.98 6.09