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INTERIM CONSOLIDATED STATEMENTS OF EQUITY (Deficiency) (Unaudited) - CAD ($)
$ in Thousands
Total
Contributed Surplus [Member]
Retained Earnings (Accumulated Deficit)
Accumulated other comprehensive loss
Share Capital [Member]
Balance, amount at Jan. 30, 2021 $ (31,291) $ 1,747 $ (148,068) $ 1,863 $ 113,167
Statement [Line Items]          
Net income for the six months ended July 31, 2021 78,699 0 78,699 0 0
Other comprehensive income 1,012 0 0 1,012 0
Total comprehensive income 79,711 0 78,699 1,012 0
Common shares issued on vesting of restricted stock units (740) (486) (493) 0 239
Stock-based compensation expense 545 545 0 0 0
Balance, amount at Jul. 31, 2021 48,225 1,806 (69,862) 2,875 113,406
Balance, amount at Jan. 29, 2022 48,315 2,507 (70,671) 2,945 113,534
Statement [Line Items]          
Other comprehensive income 30 0 0 30 0
Total comprehensive income (6,779) 0 (6,809) 30 0
Common shares issued on vesting of restricted stock units (328) (670) 14 0 328
Stock-based compensation expense 708 708 0 0 0
Net loss for the six months ended July 30, 2022 (6,809) 0 (6,809) 0 0
Balance, amount at Jul. 30, 2022 $ 41,916 $ 2,545 $ (77,466) $ 2,975 $ 113,862