0001193125-12-498555.txt : 20121211 0001193125-12-498555.hdr.sgml : 20121211 20121211161515 ACCESSION NUMBER: 0001193125-12-498555 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20121027 FILED AS OF DATE: 20121211 DATE AS OF CHANGE: 20121211 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BURLINGTON COAT FACTORY WAREHOUSE CORP CENTRAL INDEX KEY: 0000718916 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-DEPARTMENT STORES [5311] IRS NUMBER: 221970303 STATE OF INCORPORATION: DE FISCAL YEAR END: 0531 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-08739 FILM NUMBER: 121256647 BUSINESS ADDRESS: STREET 1: 1830 RTE 130 CITY: BURLINGTON STATE: NJ ZIP: 08016 BUSINESS PHONE: 6093877800 MAIL ADDRESS: STREET 1: 1830 ROUTE 130 CITY: BURLINGTON STATE: NJ ZIP: 08016 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Burlington Coat Factory Investments Holdings, Inc. CENTRAL INDEX KEY: 0001368775 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-DEPARTMENT STORES [5311] IRS NUMBER: 204663833 FISCAL YEAR END: 0131 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 333-137916-110 FILM NUMBER: 121256646 BUSINESS ADDRESS: STREET 1: C/O BURLINGTON COAT FACTORY STREET 2: 1830 ROUTE 130 N. CITY: BURLINGTON STATE: NJ ZIP: 08016 BUSINESS PHONE: (609) 387-7800 MAIL ADDRESS: STREET 1: C/O BURLINGTON COAT FACTORY STREET 2: 1830 ROUTE 130 N. CITY: BURLINGTON STATE: NJ ZIP: 08016 FORMER COMPANY: FORMER CONFORMED NAME: Burlington Coat Factory Investment Holdings, Inc. DATE OF NAME CHANGE: 20060713 FORMER COMPANY: FORMER CONFORMED NAME: Burlington Coat Factory Investment Holdings Inc. DATE OF NAME CHANGE: 20060712 10-Q 1 d398893d10q.htm FORM 10-Q Form 10-Q
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM 10-Q

 

 

(Mark One)

 

x QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended October 27, 2012

OR

 

¨ TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from            to            .

Commission File Number 333-137916-110

 

 

 

LOGO

BURLINGTON COAT FACTORY

INVESTMENTS HOLDINGS, INC.

(Exact name of registrant as specified in its charter)

 

 

 

Delaware   20-4663833

(State or Other Jurisdiction of

Incorporation or Organization)

 

(I.R.S. Employer

Identification No.)

1830 Route 130 North

Burlington, New Jersey

  08016
(Address of Principal Executive Offices)   (Zip Code)

Registrant’s Telephone Number, Including Area Code: (609) 387-7800

 

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.*    Yes  ¨    No  x

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).    Yes  x    No  ¨

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer,” and “smaller reporting company” in Rule g of the Exchange Act.

 

Large accelerated filer   ¨    Accelerated filer   ¨
Non-Accelerated filer   x  (Do not check if a smaller reporting company)    Smaller reporting company   ¨

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).    Yes  ¨    No  x

As of December 11, 2012, the registrant has 1,000 shares of common stock outstanding, all of which are owned by Burlington Coat Factory Holdings, Inc., the registrant’s parent holding company, and are not publicly traded.

 

* The Registrant has filed all reports required to be filed by Section 13 of 15(d) of the Securities Exchange Act of 1934, but is not required to file such reports under such sections.

 

 

 


Table of Contents

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

INDEX

 

     Page  

Part I - Financial Information

  

Item 1. Financial Statements (unaudited)

     3   

Condensed Consolidated Balance Sheets as of October 27, 2012, January 28, 2012 and October  29, 2011

     3   

Condensed Consolidated Statements of Operations and Comprehensive Loss – Nine and Three Months Ended October 27, 2012 and October 29, 2011

     4   

Condensed Consolidated Statements of Cash Flows - Nine Months Ended October 27, 2012 and October  29, 2011

     5   

Notes to Condensed Consolidated Financial Statements

     6   

Item 2. Management’s Discussion and Analysis of  Financial Condition and Results of Operations

     28   

Item 3. Quantitative and Qualitative Disclosures About Market Risk

     46   

Item 4. Controls and Procedures

     47   

Part II - Other Information

  

Item 1. Legal Proceedings

     48   

Item 1A. Risk Factors

     48   

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

     48   

Item 3. Defaults Upon Senior Securities

     48   

Item 4. Mine Safety Disclosures

     48   

Item 5. Other Information

     48   

Item 6. Exhibits

     49   

SIGNATURES

     50   

 

2


Table of Contents

Part I. FINANCIAL INFORMATION

Item 1. Financial Statements

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(Unaudited)

(All amounts in thousands)

 

     October 27,
2012
    January 28,
2012
    October 29,
2011
 

ASSETS

      

Current Assets:

      

Cash and Cash Equivalents

   $ 30,169      $ 35,664      $ 45,843   

Restricted Cash and Cash Equivalents

     34,800        34,800        34,822   

Accounts Receivable, Net of Allowances for Doubtful Accounts

     43,638        40,119        41,946   

Merchandise Inventories

     844,991        682,260        945,719   

Deferred Tax Assets

     16,283        23,243        25,991   

Prepaid and Other Current Assets

     46,173        40,062        43,196   

Prepaid Income Taxes

     31,961        21,319        49,274   

Assets Held for Sale

     483        521        521   
  

 

 

   

 

 

   

 

 

 

Total Current Assets

     1,048,498        877,988        1,187,312   

Property and Equipment - Net of Accumulated Depreciation

     893,690        865,215        881,442   

Tradenames

     238,000        238,000        238,000   

Favorable Leases - Net of Accumulated Amortization

     338,443        359,903        367,493   

Goodwill

     47,064        47,064        47,064   

Other Assets

     114,307        112,973        90,258   
  

 

 

   

 

 

   

 

 

 

Total Assets

   $ 2,680,002      $ 2,501,143      $ 2,811,569   
  

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S DEFICIT

      

Current Liabilities:

      

Accounts Payable

   $ 678,092      $ 276,285      $ 650,152   

Other Current Liabilities

     252,916        221,343        239,845   

Current Maturities of Long Term Debt

     5,515        7,659        5,728   
  

 

 

   

 

 

   

 

 

 

Total Current Liabilities

     936,523        505,287        895,725   

Long Term Debt

     1,422,571        1,605,464        1,605,238   

Other Liabilities

     217,313        224,352        208,404   

Deferred Tax Liabilities

     254,082        276,985        273,109   

Commitments and Contingencies (Notes 3, 4, 10 and 11)

      

Stockholder’s Deficit:

      

Common Stock (Par Value $0.01; 1,000 Shares Issued and Outstanding)

     —          —          —     

Capital in Excess of Par Value

     477,298        474,569        472,431   

Accumulated Deficit

     (627,785     (585,514     (643,338
  

 

 

   

 

 

   

 

 

 

Total Stockholder’s Deficit

     (150,487     (110,945     (170,907
  

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s Deficit

   $ 2,680,002      $ 2,501,143      $ 2,811,569   
  

 

 

   

 

 

   

 

 

 

See Notes to Condensed Consolidated Financial Statements.

 

3


Table of Contents

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS

(Unaudited)

(All amounts in thousands)

 

     Nine Months Ended     Three Months Ended  
     October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

REVENUES:

        

Net Sales

   $ 2,814,497      $ 2,621,094      $ 967,894      $ 898,663   

Other Revenue

     23,051        22,483        7,958        8,140   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     2,837,548        2,643,577        975,852        906,803   

COSTS AND EXPENSES:

        

Cost of Sales

     1,757,823        1,625,163        594,389        540,807   

Selling and Administrative Expenses

     948,432        882,668        335,106        317,134   

Restructuring and Separation Costs (Note 4)

     2,441        5,621        635        431   

Depreciation and Amortization

     120,748        113,174        40,844        39,188   

Impairment Charges – Long-Lived Assets

     1,100        34        1,021        —     

Other Income, Net

     (6,330     (7,015     (1,913     (1,897

Loss on Extinguishment of Debt

     3,413        37,764        —          —     

Interest Expense (Inclusive of Gain (Loss) on Interest Rate Cap Agreements)

     84,529        97,976        27,421        34,812   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

     2,912,156        2,755,385        997,503        930,475   

Loss Before Income Tax Benefit

     (74,608     (111,808     (21,651     (23,672

Income Tax Benefit

     (31,964     (47,712     (14,204     (13,395
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

   $ (42,644   $ (64,096   $ (7,447   $ (10,277
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive Loss

   $ (42,644   $ (64,096   $ (7,447   $ (10,277
  

 

 

   

 

 

   

 

 

   

 

 

 

See Notes to Condensed Consolidated Financial Statements.

 

4


Table of Contents

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(Unaudited)

(All amounts in thousands)

 

     Nine Months Ended  
     October 27,
2012
    October 29,
2011
 

OPERATING ACTIVITIES

    

Net Loss

   $ (42,644   $ (64,096

Adjustments to Reconcile Net Loss to Net Cash Provided by Operating Activities:

    

Depreciation and Amortization

     120,748        113,174   

Impairment Charges – Long-Lived Assets

     1,100        34   

Amortization of Debt Issuance Costs

     4,138        10,297   

Accretion of Senior Notes

     1,241        60   

Interest Rate Cap Agreement - Adjustment to Market

     19        2,355   

Provision for Losses on Accounts Receivable

     105        1,241   

Deferred Income Tax Provision (Benefit)

     (16,021     (7,113

Loss on Retirement of Fixed Assets

     396        708   

Loss on Extinguishment of Debt – Write-off of Deferred Financing Fees

     3,413        16,435   

Excess Tax Benefit from Stock Based Compensation

     (302     (213

Non-Cash Stock Based Compensation Expense

     1,968        4,917   

Non-Cash Rent Expense

     (6,532     (3,177

Changes in Assets and Liabilities:

    

Accounts Receivable

     (11,883     (10,670

Merchandise Inventories

     (162,731     (301,492

Prepaid and Other Current Assets

     (16,754     (39,934

Accounts Payable

     401,807        459,692   

Other Current Liabilities and Income Tax Payable

     23,040        20,248   

Deferred Rent Incentives

     19,320        26,934   

Other Long Term Assets and Long Term Liabilities

     (7,232     (4,218
  

 

 

   

 

 

 

Net Cash Provided by Operating Activities

   $ 313,196      $ 225,182   

INVESTING ACTIVITIES

    

Cash Paid for Property and Equipment

     (129,254     (116,246

Proceeds Received from Sale of Property and Equipment

     407        663   

Increase in Restricted Cash and Cash Equivalents

     —          (4,558

Lease Acquisition Costs

     (430     (557

Other

     —          (1,064
  

 

 

   

 

 

 

Net Cash Used in Investing Activities

   $ (129,277   $ (121,762

FINANCING ACTIVITIES

    

Proceeds from Long Term Debt – ABL Line of Credit

     404,500        687,800   

Proceeds from Long Term Debt – Senior Notes

     —          450,000   

Proceeds from Long Term Debt – Term Loan

     116,913        991,158   

Principal Payments on Long Term Debt – ABL Line of Credit

     (572,800     (698,300

Principal Payments on Long Term Debt – Senior Discount Notes

     —          (99,309

Principal Payments on Long Term Debt – Senior Notes

     —          (302,056

Principal Payments on Long Term Debt

     (521     (622

Principal Payments on Long Term Debt – Term Loan

     (135,749     (790,050

Payment of Dividends

     (1,711     (297,917

Stock Option Exercise and Related Tax Benefits

     761        760   

Debt Issuance Costs

     (807     (29,255
  

 

 

   

 

 

 

Net Cash Used in Financing Activities

   $ (189,414   $ (87,791

(Decrease)/Increase in Cash and Cash Equivalents

     (5,495     15,629   

Cash and Cash Equivalents at Beginning of Period

     35,664        30,214   
  

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

   $ 30,169      $ 45,843   
  

 

 

   

 

 

 

Supplemental Disclosure of Cash Flow Information

    

Interest Paid

   $ 91,274      $ 85,507   
  

 

 

   

 

 

 

Net Income Tax Payments

   $ 4,029      $ 4,064   
  

 

 

   

 

 

 

Non-Cash Investing Activities:

    

Accrued Purchases of Property and Equipment

   $ 22,150      $ 19,950   
  

 

 

   

 

 

 

See Notes to Condensed Consolidated Financial Statements.

 

5


Table of Contents

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

October 27, 2012

(UNAUDITED)

1. Summary of Significant Accounting Policies

Basis of Presentation

These unaudited Condensed Consolidated Financial Statements include the accounts of Burlington Coat Factory Investments Holdings, Inc. and all of its subsidiaries (Company or Holdings). Holdings has no operations and its only asset is all of the stock of Burlington Coat Factory Warehouse Corporation. All discussions of operations in this report relate to Burlington Coat Factory Warehouse Corporation and its subsidiaries (BCFWC), which are reflected in the financial statements of Holdings. The Condensed Consolidated Financial Statements are unaudited, but in the opinion of management reflect all adjustments (which are of a normal and recurring nature) necessary for the fair presentation of the results of operations for the interim periods presented. Certain information and note disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) have been condensed or omitted. It is suggested that these Condensed Consolidated Financial Statements be read in conjunction with the financial statements and notes thereto included in the Company’s Annual Report on Form 10-K for the fiscal year ended January 28, 2012 (Fiscal 2011 10-K). The balance sheet at January 28, 2012 presented herein has been derived from the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K. Because the Company’s business is seasonal in nature, the operating results for the three and nine month periods ended October 27, 2012 are not necessarily indicative of results for the fiscal year ending February 2, 2013 (Fiscal 2012).

Accounting policies followed by the Company are described in Note 1 to the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K.

In July 2012, the FASB issued Accounting Standards Update No. 2012-02, “Intangibles — Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” (ASU 2012-02). In accordance with ASU 2012-02, an entity has the option to first assess qualitative factors to determine whether it is more likely than not that the fair value of an indefinite-lived intangible asset is less than its carrying value. If the entity determines that it is more likely than not that the fair value of the indefinite-lived intangible asset is less than the carrying value, the entity will be required to perform the quantitative impairment test. ASU 2012-02 is effective for annual and interim impairment tests performed for fiscal years beginning after September 15, 2012. However, early adoption is permitted. The Company has elected not to early adopt in the current fiscal year and does not expect ASU 2012-02, once adopted, to have a material impact on the Company’s financial position or results of operations.

There were no new accounting standards that had a material impact on the Company’s Condensed Consolidated Financial Statements during the nine month period ended October 27, 2012 and there were no new accounting standards or pronouncements that were issued but not yet effective as of October 27, 2012 that the Company expects to have a material impact on its financial position or results of operations upon becoming effective.

 

6


Table of Contents

2. Stockholder’s Deficit

Activity for the three and nine month periods ended October 27, 2012 and October 29, 2011 in the Company’s common stock, capital in excess of par value, accumulated deficit, and total stockholder’s deficit are summarized below:

 

     (in thousands)  
     Common
Stock
     Capital in
Excess of Par
Value
     Accumulated
Deficit
    Total  

Balance at January 28, 2012

   $ —         $ 474,569       $ (585,514   $ (110,945

Net Loss

     —           —           (3,940     (3,940

Stock Options Exercised and Related Tax Benefits

        394         —          394   

Stock Based Compensation

     —           791         —          791   

Dividends (b)

     —           —           373        373   
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at April 28, 2012

     —           475,754         (589,081     (113,327
  

 

 

    

 

 

    

 

 

   

 

 

 

Net Loss

     —           —           (31,257     (31,257

Stock Options Exercised and Related Tax Benefits

     —           267         —          267   

Stock Based Compensation

     —           612         —          612   
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at July 28, 2012

     —           476,633         (620,338     (143,705

Net Loss

     —              (7,447     (7,447

Stock Options Exercised and Related Tax Benefits

     —           100         —          100   

Stock Based Compensation

     —           565         —          565   
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at October 27, 2012

   $ —         $ 477,298       $ (627,785   $ (150,487

Balance at January 29, 2011

   $ —         $ 466,754       $ (279,242   $ 187,512   

Net Loss

     —           —           (21,056     (21,056

Excess Tax Benefit from Stock Based Compensation

        448         —          448   

Stock Option Expense

     —           705         —          705   

Dividends (a)

     —           —           (300,000     (300,000
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at April 30, 2011

     —           467,907         (600,298     (132,391
  

 

 

    

 

 

    

 

 

   

 

 

 

Net Loss

     —           —           (32,763     (32,763

Stock Options Exercised and Related Tax Benefits

        310         —          310   

Stock Based Compensation

     —           195         —          195   
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at July 30, 2011

     —           468,412         (633,061     (164,649

Net Loss

     —              (10,277     (10,277

Stock Options Exercised and Related Tax Benefits

        2         —          2   

Stock Based Compensation

     —           4,017         —          4,017   
  

 

 

    

 

 

    

 

 

   

 

 

 

Balance at October 29, 2011

   $ —         $ 472,431       $ (643,338   $ (170,907

 

(a) Represents dividends payable to the stockholders of Burlington Coat Factory Holdings, Inc. (Parent) in conjunction with the Company’s February 2011 debt refinancing, of which $297.9 million was paid as of April 30, 2011 and $1.7 million was paid as of April 28, 2012. Less than $0.1 million was paid during the three months ended July 28, 2012.

 

(b) As a result of certain forfeitures of Parent’s restricted stock prior to the payment date, $0.4 million of dividend payments were forfeited and reverted back to the Company.

 

7


Table of Contents

3. Long Term Debt

Long term debt consists of:

 

     (in thousands)  
     October 27,
2012
    January 28,
2012
    October 29,
2011
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8%, due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

   $ 932,907      $ 949,123      $ 978,658   

$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

     450,000        450,000        450,000   

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016.

     21,700        190,000        158,100   

Promissory Note, non-interest bearing, due in monthly payments of $17 through January 1, 2012.

     —          —          50   

Promissory Note, 4.4% due in monthly payments of $8 through December 23, 2011.

     —          —          16   

Capital Lease Obligations

     23,479        24,000        24,142   
  

 

 

   

 

 

   

 

 

 

Total debt

     1,428,086        1,613,123        1,610,966   

Less: current maturities

     (5,515     (7,659     (5,728
  

 

 

   

 

 

   

 

 

 

Long-term debt, net of current maturities

   $ 1,422,571      $ 1,605,464      $ 1,605,238   
  

 

 

   

 

 

   

 

 

 

$1 Billion Senior Secured Term Loan Facility (Term Loan Facility)

On May 16, 2012, the Company entered into Amendment No. 1 (the “Amendment”) to the Term Loan Credit Agreement, which, among other things, reduces the applicable margin on the interest rates applicable to the Company’s Term Loan Facility by 50 basis points. To accomplish this interest rate reduction, the Amendment provided for a replacement of the previously outstanding $950.5 million principal amount of term B loans (the “Term B Loans”) with a like aggregate principal amount of term B-1 loans (the “Term B-1 Loans”). The Company offered existing term loan lenders the option to convert their Term B Loans into Term B-1 Loans on a non-cash basis. The $119.3 million of Term B Loans held by existing lenders electing not to convert their Term B Loans into Term B-1 Loans were prepaid in full on the effective date of the Amendment from the proceeds of new Term B-1 Loans. The Term B-1 Loans have the same maturity date that was applicable to the Term B Loans. The Term Loan Credit Agreement provisions relating to the representations and warranties, covenants and events of default applicable to the Company and the guarantors were not modified by the Amendment.

As a result of this transaction, mandatory quarterly payments of $2.4 million are payable as of the last day of each quarter beginning with the quarter ended July 28, 2012. The Company elected to make a prepayment of $9.5 million in May 2012, which offsets the mandatory quarterly payments through August 3, 2013.

In accordance with ASC Topic No. 470-50, “Debt Modifications and Extinguishments” (Topic 470), the Company recognized a non-cash loss on the partial extinguishment of debt of $3.4 million, which was recorded in the line item “Loss on the Extinguishment of Debt” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012. In connection with the Amendment, the Company incurred fees of $3.1 million, primarily related to legal and placement fees, which were recorded in the line item “Selling and Administrative Expense” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012 related to the portion of the debt that was not extinguished.

The Term Loan Facility contains financial, affirmative and negative covenants and requires that BCFWC, exclusive of subsidiaries (referred to herein as “BCFW”), among other things, maintain on the last day of each fiscal quarter a consolidated leverage ratio not to exceed a maximum amount and maintain a consolidated interest coverage ratio of at least a certain amount. The consolidated leverage ratio compares our total debt to Adjusted EBITDA, as each term is defined in the Term Loan Credit Agreement, for the trailing twelve months, and such ratios may not exceed 6.75 to 1 through October 27, 2012; 6.25 to 1 through November 2, 2013; 5.50 to 1 through November 1, 2014; 5.00 to 1 through October 31, 2015; and 4.75 to 1 at January 30, 2016 and thereafter. The consolidated interest coverage ratio compares our consolidated interest expense to Adjusted EBITDA, as each term is defined in the Term Loan Credit Agreement, for the trailing twelve months, and such ratios must exceed 1.75 to 1 through October 27, 2012; 1.85 to 1 through November 2, 2013; 2.00 to 1 through October 31, 2015; and 2.10 to 1 at January 30, 2016 and thereafter. Adjusted EBITDA is a non-GAAP financial measure of our liquidity. Adjusted EBITDA, as defined in the credit agreement governing the Company’s Term Loan Facility, starts with consolidated net loss for the period and adds back (i) depreciation, amortization, impairments and other non-cash charges that were deducted in arriving at consolidated net loss, (ii) the (benefit) provision for taxes, (iii) interest expense, (iv) advisory fees, and (v) unusual, non-recurring or extraordinary expenses, losses or charges as reasonably approved by the administrative agent for such period. Adjusted EBITDA is used to calculate the consolidated leverage ratio. Adjusted EBITDA provides management, including the Company’s chief operating decision maker, with helpful information with respect to its operations such as its ability to meet its future debt service, fund its capital expenditures and working capital requirements, and comply with various covenants in each indenture governing its outstanding notes and the credit agreements governing its senior secured credit facilities which are material to its financial condition and financial statements.

 

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The interest rates for the Term Loan Facility are based on: (i) for LIBO rate loans for any interest period, at a rate per annum equal to (a) the greater of (x) the LIBO rate, as determined by the Term Loan Facility Administrative Agent, for such interest period multiplied by the Statutory Reserve Rate (as defined in the Term Loan Credit Agreement) and (y) 1.50% (the Term Loan Adjusted LIBO Rate), plus an applicable margin; and (ii) for prime rate loans, a rate per annum equal to the highest of (a) the variable annual rate of interest then announced by JPMorgan Chase Bank, N.A. at its head office as its “prime rate,” (b) the federal funds rate in effect on such date plus 0.50% per annum, and (c) the Term Loan Adjusted LIBO Rate for the applicable class of term loans for one-month plus 1.00%, plus, in each case, an applicable margin. The interest rate on the Term Loan Facility was 5.5% as of October 27, 2012.

ABL Line of Credit

On September 2, 2011, the Company completed an amendment and restatement of the credit agreement governing the Company’s $600 million ABL Line of Credit, which, among other things, extended the maturity date to September 2, 2016. The aggregate amount of commitments under the amended and restated credit agreement is $600 million and, subject to the satisfaction of certain conditions, the Company may increase the aggregate amount of commitments up to $900 million. Interest rates under the amended and restated credit agreement are based on LIBO rates as determined by the administrative agent plus an applicable margin of 1.75% to 2.25% based on daily availability, or various prime rate loan options plus an applicable margin of 0.75% to 1.25% based on daily availability. The fee on the average daily balance of unused loan commitments is 0.375%.

Prior to the September 2, 2011 ABL amendment and restatement, the ABL Line of Credit carried an interest rate of LIBOR plus a spread which was determined by the Company’s annual average borrowings outstanding. Commitment fees of 0.75% to 1.0%, based on the Company’s usage of the line of credit, were charged on the unused portion of the facility and were included in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss.

At October 27, 2012, the Company had $542.3 million available under the ABL Line of Credit and $21.7 million of outstanding borrowings. The maximum borrowings under the facility during the three and nine month periods ended October 27, 2012 amounted to $84.0 million and $213.7 million, respectively. Average borrowings during the three and nine month periods ended October 27, 2012 amounted to $41.1 million and $45.0 million, respectively, at average interest rates of 2.1% for both periods. At October 27, 2012 the Company’s borrowing rate related to the ABL Line of Credit was 4.0%. At January 28, 2012, $190.0 million was outstanding under this facility.

At October 29, 2011, the Company had $401.3 million available under the ABL Line of Credit and $158.1 million of outstanding borrowings. The maximum borrowings under the facility during each of the three and nine month periods ended October 29, 2011 amounted to $195.0 million for both periods. Average borrowings during the three and nine month periods ended October 29, 2011 amounted to $142.1 million and $82.3 million, respectively, at average interest rates of 2.6% and 3.5%, respectively. At October 29, 2011 the Company’s borrowing rate related to the ABL Line of Credit was 2.7%.

Both the Term Loan Facility and the ABL Line of Credit are fully, jointly, severally, unconditionally, and irrevocably guaranteed by all of the Company’s subsidiaries (with the exception of one immaterial non-guarantor subsidiary). The ABL Line of Credit is collateralized by a first lien on the Company’s inventory and receivables and a second lien on the Company’s real estate and property and equipment. The Term Loan Facility is collateralized by a first lien on the Company’s real estate, favorable leases, and machinery and equipment and a second lien on the Company’s inventory and receivables.

As of October 27, 2012, the Company was in compliance with all of its debt covenants. The agreements regarding the ABL Line of Credit and the Term Loan Facility, as well as the indenture governing the Senior Notes, contain covenants that, among other things, limit the Company’s ability, and the ability of the Company’s restricted subsidiaries, to pay dividends on, redeem or repurchase capital stock; make investments; incur additional indebtedness or issue preferred stock; create liens; permit dividends or other restricted payments by the Company’s subsidiaries; sell all or substantially all of the Company’s assets or consolidate or merge with or into other companies; and engage in transactions with affiliates.

The Company had $26.2 million, $31.5 million and $31.8 million in deferred financing fees, net of accumulated amortization, as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively, related to its debt instruments recorded in the line item “Other Assets” on the Company’s Condensed Consolidated Balance Sheets. Amortization of deferred financing fees amounted to $1.4 million and $5.3 million for the three month periods ended October 27, 2012 and October 29, 2011, respectively, and is included in the line item “Interest Expense” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss.

Amortization of deferred financing fees amounted to $4.1 million and $10.3 million for the nine months ended October 27, 2012 and October 29, 2011, respectively. During the nine months ended October 27, 2012, the Company recorded $0.8 million of new deferred financing costs and wrote off $2.0 million deferred financing costs and accumulated amortization related to the Amendment of the Term Loan Facility discussed above.

 

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4. Restructuring and Separation

The Company accounts for restructuring and separation costs in accordance with ASC Topic No. 420, “Exit or Disposal Cost Obligations” (Topic No. 420). In an effort to improve workflow efficiencies and realign certain responsibilities, the Company effected a reorganization of certain positions within its stores and corporate locations. During the three and nine months ended October 27, 2012, severance charges were $0.6 million and $2.4 million, respectively, and were recorded in the line item “Restructuring and Separation Costs” in the Company’s Condensed Consolidated Statement of Operations and Comprehensive Loss.

In comparison, severance charges for the three and nine months ended October 29, 2011 were $0.4 million and $5.6 million, respectively. Severance charges for the three and nine months ended October 29, 2011 were also the result of the Company’s efforts to improve workflow efficiencies and realign certain responsibilities, which effected the reorganization of certain positions within its stores and corporate locations.

The table below summarizes the charges and payments related to the Company’s restructuring and separation costs, which are included in the line items “Other Current Liabilities” in the Company’s Condensed Consolidated Balance Sheet as of October 27, 2012 and October 29, 2011:

 

     (in thousands)  
     January 28,
2012
     Charges      Cash
Payments
    Other      October 27,
2012
 

Severance – Restructuring

   $ —         $ 1,015       $ (1,015   $ —         $ —     

Severance – Separation Cost

     979         1,426         (1,670     —           735   
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Total

   $ 979       $ 2,441       $ (2,685   $ —         $ 735   
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 
     (in thousands)  
     January 29,
2011
     Charges      Cash
Payments
    Other      October 29,
2011
 

Severance – Restructuring

   $ 6       $ 3,503       $ (3,286   $ —         $ 223   

Severance – Separation Cost

     1,231         2,118         (2,260     —           1,089   
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Total

   $ 1,237       $ 5,621       $ (5,546   $ —         $ 1,312   
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

5. Fair Value Measurements

The Company accounts for fair value measurements in accordance with ASC Topic No. 820, “Fair Value Measurements and Disclosures,” (Topic No. 820) which defines fair value, establishes a framework for measurement and expands disclosure about fair value measurements. Topic No. 820 defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (exit price), and classifies the inputs used to measure fair value into the following hierarchy:

 

Level 1:    Quoted prices for identical assets or liabilities in active markets.
Level 2:    Quoted market prices for similar assets or liabilities in active markets; quoted prices for identical or similar assets or liabilities in markets that are not active; and model-derived valuations whose inputs are observable or whose significant value drivers are observable.
Level 3:   

Pricing inputs that are unobservable for the assets and liabilities and include situations where there is little, if any, market

activity for the assets and liabilities.

The inputs into the determination of fair value require significant management judgment or estimation.

Financial Assets

The Company’s financial assets as of October 27, 2012 included cash equivalents, interest rate cap agreements and a note receivable. The Company’s financial liabilities are discussed below. The carrying value of cash equivalents approximates fair value due to its short-term nature. The fair values of the interest rate cap agreements are determined using quotes that are based on models whose inputs are observable LIBOR forward interest rate curves. To comply with the provisions of Topic No. 820, the Company incorporates credit valuation adjustments to appropriately reflect both the Company’s non-performance risk and the respective counterparty’s non-performance risk in the fair value measurements. In adjusting the fair value of the Company’s interest rate cap agreements for the effect of non-performance risk, the Company has considered the impact of netting and any applicable credit enhancements, such as collateral postings, thresholds, mutual puts, and guarantees. As a result, the Company has determined that the inputs used to value this investment fall within Level 2 of the fair value hierarchy.

 

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Although the Company has determined that the majority of the inputs used to value its interest rate cap agreements fall within Level 2 of the fair value hierarchy, the credit valuation adjustments associated with the Company’s interest rate cap agreements utilize Level 3 inputs, such as estimates of current credit spreads to evaluate the likelihood of default. As of October 27, 2012, the Company recorded credit valuation adjustments of less than $0.1 million to the overall valuation of the Company’s interest rate cap agreements. The credit valuation adjustment is not considered significant to the valuation of each of the individual interest rate cap agreements and as a result, the Company has determined that its interest rate cap agreement valuations in their entirety are classified as Level 2 within the fair value hierarchy.

The fair value of the note receivable is based on a discounted cash flow analysis whose inputs are unobservable, and therefore it falls within Level 3 of the fair value hierarchy.

The fair values of the Company’s financial assets and the hierarchy of the level of inputs are summarized below:

 

     (in thousands)  
     Fair Value Measurements at  
     October 27,
2012
     January 28,
2012
     October 29,
2011
 

Assets:

        

Level 1

        

Cash equivalents (including restricted cash)

   $ 34,959       $ 34,915       $ 34,924   

Level 2

        

Interest rate cap agreements (a)

   $ 95       $ 114       $ 924   

Level 3

        

Note Receivable (b)

   $ 758       $ 763       $ 1,099   

 

  (a) Included in “Other Assets” within the Company’s Condensed Consolidated Balance Sheets (refer to Note 6 of the Company’s Condensed Consolidated Financial Statements, entitled “Derivative Instruments and Hedging Activities,” for further discussion regarding the Company’s interest rate cap agreements).
  (b) Included in “Prepaid and Other Current Assets” and “Other Assets” on the Company’s Consolidated Balance Sheets. The change in fair value of the Company’s Level 3 note receivable from January 28, 2012 to October 27, 2012 is related to unrealized losses. The change in fair value of the Company’s Level 3 note receivable from October 29, 2011 to October 27, 2012 is related to the Company receiving a partial payment in the amount of $0.5 million, which was partially offset by unrealized gains in the amount of $0.2 million.

Financial Liabilities

The fair value of the Company’s debt as of October 27, 2012, January 28, 2012 and October 29, 2011 is noted in the table below:

 

     (in thousands)  
     October 27, 2012      January 28, 2012      October 29, 2011  
     Carrying
Amount
(c)
     Fair
Value (c)
     Carrying
Amount
(c)
     Fair
Value (c)
     Carrying
Amount
(c)
     Fair
Value (c)
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

   $ 932,907       $ 943,791       $ 949,123       $ 945,247       $ 978,658       $ 955,823   

$450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

     450,000         497,250         450,000         432,000         450,000         442,125   

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016. (a)

     21,700         21,700         190,000         190,000         158,100         158,100   

Other debt (b)

     —           —           —           —           66         66   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total debt

   $ 1,404,607       $ 1,462,741       $ 1,589,123       $ 1,567,247       $ 1,586,824       $ 1,556,114   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(a) The carrying value of the ABL Line of Credit approximates its fair value due to its short term nature (borrowings are typically done in increments of 30 days or less) and its variable interest rate.

 

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(b) Other debt includes the industrial revenue bonds and both promissory notes, as described in the Fiscal 2011 10-K.
(c) Capital lease obligations are excluded from the table above.

As of October 27, 2012, the fair value of the Company’s debt, exclusive of capital leases, was $1,462.7 million compared to the carrying value of $1,404.6 million. The fair values presented herein are based on estimates using quoted market prices for the same or similar issues and other pertinent information available to management as of the respective period end dates. The estimated fair values of the Company’s debt are classified as Level 2 in the fair value hierarchy. Although management is not aware of any factors that could significantly affect the estimated fair value amounts, such amounts have not been comprehensively revalued for purposes of these Condensed Consolidated Financial Statements since October 27, 2012, and current estimates of fair value may differ from amounts presented herein.

6. Derivative Instruments and Hedging Activities

The Company accounts for derivatives and hedging activities in accordance with ASC Topic No. 815 “Derivatives and Hedging” (Topic No. 815). Topic No. 815 provides disclosure requirements to provide users of financial statements with an enhanced understanding of: (i) How and why an entity uses derivative instruments; (ii) How derivative instruments and related hedged items are accounted for under Topic No. 815 and its related interpretations; and (iii) How derivative instruments and related hedged items affect an entity’s financial position, financial performance and cash flows.

The Company is exposed to certain risks relating to its ongoing business operations, including market risks relating to fluctuations in interest rates. The Company’s senior secured credit facilities contain floating rate obligations and are subject to interest rate fluctuations. The Company uses interest rate cap agreements, which are designated as economic hedges, to manage interest rate risk associated with the Company’s variable-rate borrowings and to minimize the negative impact of interest rate fluctuations on its earnings and cash flows, thus reducing the Company’s exposure to variability in expected future cash flows attributable to the changes in LIBOR rates.

Topic No. 815 requires recognition of all derivative instruments as either assets or liabilities at fair value in the statement of financial position. Interest rate cap agreements are recorded at a fair value and adjusted to market on a quarterly basis. Gains or losses associated with the interest rate cap agreements are recorded in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss and in the line item “Interest Rate Cap Contract – Adjustment to Market” on the Company’s Condensed Consolidated Statements of Cash Flows.

As of October 27, 2012, January 28, 2012 and October 29, 2011, the Company was party to two outstanding interest rate cap agreements to manage the interest rate risk associated with future interest payments on variable-rate debt.

 

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     (in thousands)  
     Fair Values of Derivative Instruments  
     Asset Derivatives  
     October 27, 2012      January 28, 2012      October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

   Balance
Sheet
Location
     Fair
Value
     Balance
Sheet
Location
     Fair
Value
     Balance
Sheet
Location
     Fair
Value
 

Interest Rate Cap Agreements

     Other Assets       $ 95         Other Assets       $ 114         Other Assets       $ 924   
     Liability Derivatives  
     October 27, 2012      January 28, 2012      October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

   Balance
Sheet
Location
     Fair
Value
     Balance
Sheet
Location
     Fair
Value
     Balance
Sheet
Location
     Fair
Value
 

Interest Rate Cap Agreements

     Other Liabilities       $ —           Other Liabilities       $ —           Other Liabilities       $ —     
     (Gain) or Loss on Derivative Instruments  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

   Location of (Gain)
Loss Recognized in
Income on  Derivatives
     Amount of (Gain) Loss Recognized in Income on
Derivatives
 
            Nine Months Ended      Three Months Ended  
            October 27,
2012
     October 29,
2011
     October 27,
2012
     October 29,
2011
 

Interest Rate Cap Agreements

     Interest Expense       $ 19       $ 2,355       $ 85         $ 493   

 

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The Company has two interest rate cap agreements each of which has a notional principal amount of $450 million, a cap rate of 7.0% and terminates on May 31, 2015. The Company has not elected hedge accounting treatment for its interest rate cap agreements. The Company adjusts these interest rate cap agreements to fair value on a quarterly basis and as a result, gains or losses associated with these agreements are included in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss and in the line item “Interest Rate Cap Contract – Adjustment to Market” on the Company’s Condensed Consolidated Statements of Cash Flows.

7. Income Taxes

 

     October 27,
2012
     January 28,
2012
     October 29,
2011
 

Current Deferred Tax Asset

   $ 16,283       $ 23,243       $ 25,991   

Non-Current Deferred Tax Liability

     254,082         276,985         273,109   
  

 

 

    

 

 

    

 

 

 

Net Deferred Tax Liability

   $ 237,799       $ 253,742       $ 247,118   

Current deferred tax assets consisted primarily of certain operating costs and inventory related costs not currently deductible for tax purposes. Non-current deferred tax liabilities primarily related to rent expense, intangible assets, and depreciation expense where the Company has a future obligation for tax purposes.

In accordance with ASC Topic No. 270, Interim Reporting (Topic No. 270) and ASC Topic No. 740, Income Taxes (Topic No. 740), at the end of each interim period the Company is required to determine the best estimate of its annual effective tax rate and then apply that rate in providing for income taxes on a current year-to-date (interim period) basis. As of October 27, 2012, the Company’s best estimate of its annual effective income tax rate was 38.1% (before discrete items).

As of October 27, 2012, January 28, 2012 and October 29, 2011, valuation allowances amounted to $6.1 million, $6.1 million and $5.8 million, respectively, primarily related to state tax net operating losses. The Company believes that it is more likely than not that a portion of the benefit of the state tax net operating losses will not be realized. The state net operating losses have been generated in a number of taxing jurisdictions and are subject to various expiration periods ranging from five to twenty years beginning with Fiscal 2012. During the three and nine months ended October 27, 2012, the Company’s unrecognized tax benefits were reduced by $7.5 million (including penalties and interest) upon the closing of ongoing state audits related to filing positions taken by the Company. As a result, the Company recognized a $5.0 million income tax benefit during the three and nine months ended October 27, 2012.

In addition, management also determined that a full valuation allowance of $1.2 million was required against the tax benefit associated with Puerto Rico alternative minimum tax credits as of both October 27, 2012 and January 28, 2012.

8. Stock Option and Award Plans and Stock-Based Compensation

On April 13, 2006, Parent’s Board of Directors adopted the 2006 Management Incentive Plan (the Plan). The Plan provides for the granting of service-based and performance-based stock options, restricted stock and other forms of awards to key employees and directors of the Company or its affiliates. Grants made pursuant to the Plan are comprised of units of Parent’s common stock. Each “unit” consists of nine shares of Parent’s Class A common stock and one share of Parent’s Class L common stock. The shares comprising a unit are in the same proportion as the shares of Class A and Class L common stock held by all stockholders of the Parent. Options granted pursuant to the Plan are exercisable only for whole units and cannot be separately exercised for the individual classes of Parent’s common stock. As of October 27, 2012, there were 730,478 units reserved under the Plan consisting of 6,574,302 shares of Parent’s Class A common stock and 730,478 shares of Parent’s Class L common stock.

Non-cash stock compensation expense for the three and nine months ended October 27, 2012 amounted to $0.6 million and $2.0 million, respectively. In comparison, non-cash stock compensation expense for the three and nine months end October 29, 2011 amounted to $4.0 million and $4.9 million, respectively. The table below summarizes the types of stock compensation:

 

     (in thousands)  
     Three Months Ended      Nine Months Ended  
     October 27,
2012
    October 29,
2011
     October 27,
2012
     October 29,
2011
 

Type of Non-Cash Stock Compensation

          

Stock Option Compensation

   $ 590      $ 3,726       $ 1,507       $ 4,271   

Restricted Stock Compensation

     (25     291         461         646   
  

 

 

   

 

 

    

 

 

    

 

 

 

Total

   $ 565      $ 4,017       $ 1,968       $ 4,917   
  

 

 

   

 

 

    

 

 

    

 

 

 

 

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Stock Options

Options granted during the nine month periods ended October 27, 2012 and October 29, 2011 were all service-based awards and were granted at exercise prices of (i) $90 per unit and $180 per unit prior to May 1, 2011, (ii) $50 per unit and $120 per unit from May 1, 2011 through May 17, 2012, and (iii) $65 per unit and $120 per unit from and after May 17, 2012.

In April 2011, the Parent’s Board of Directors, in order to reflect the dividends paid in connection with the debt refinancing, approved a reduction of the exercise prices of each then outstanding option from $90 per unit and $180 per unit, respectively, to $30.60 and $120.60 per unit, respectively, without affecting the existing vesting schedules thereof. Upon application of modification accounting, which contemplates fair value of awards both before and after the debt refinancing and related dividends, the stock compensation cost did not change.

All of the service-based awards granted during the nine month period ended October 27, 2012 and October 29, 2011 vest 40% on the second anniversary of the award with the remaining amount vesting ratably over the subsequent three years. The final exercise date for any option granted is the tenth anniversary of the grant date.

All options awarded pursuant to the Plan become exercisable upon a change of control. Unless determined otherwise by the plan administrator and except as otherwise set forth in the option holders’ stock agreement, upon cessation of employment, (1) options that have not vested will terminate immediately; (2) units previously issued upon the exercise of vested options will be callable at the Company’s option; and (3) unexercised vested options will be exercisable for a period of 60 days.

As of October 27, 2012, the Company had 479,672 options outstanding to purchase units, all of which are service-based awards. The Company accounts for awards issued under the Plan in accordance with ASC Topic No. 718, “Stock Compensation.” For the three and nine months ended October 27, 2012, the Company recognized non-cash stock option compensation expense of $0.6 million ($0.4 million after tax) and $1.5 million ($0.9 million after tax), respectively, net of less than a $0.1 million and a $0.2 million forfeiture adjustment. These forfeiture adjustments were the result of actual forfeitures being higher than initially estimated. For the three and nine months ended October 29, 2011, the Company recognized non-cash stock option compensation expense of $3.7 million ($1.6 million after tax) and $4.3 million ($2.5 million after tax), respectively, net of a respective $3.2 million and $2.5 million forfeiture adjustment that was recorded as a result of actual forfeitures being higher than initially estimated.

As of October 27, 2012 there was approximately $4.1 million of unearned non-cash stock-based option compensation that the Company expected to recognize as expense over the next 5.0 years. The service-based awards are expensed on a straight-line basis over the requisite service period of five years. As of October 27, 2012, 44.4% percent of outstanding options to purchase units had vested.

Stock option transactions during the nine month period ended October 27, 2012 are summarized as follows:

 

     Number of
Units
    Weighted
Average
Exercise
Price Per
Unit
 

Options Outstanding January 28, 2012

     472,673      $ 69.86   

Options Granted

     47,000        83.12   

Options Forfeited

     (24,768     (72.31

Options Exercised

     (15,233     (30.60
  

 

 

   

 

 

 

Options Outstanding October 27, 2012

     479,672      $ 73.04   
  

 

 

   

 

 

 

Non-vested stock option unit transactions during the nine months ended October 27, 2012 are summarized below:

 

     Number of
Units
    Weighted
Average
Grant
Date Fair
Value
Per Unit
 

Non-Vested Options Outstanding, January 28, 2012

     290,464      $ 34.12   

Granted

     47,000        41.53   

Vested

     (53,259     (40.61

Forfeited

     (17,333     (43.11
  

 

 

   

 

 

 

Non-Vested Options Outstanding, October 27, 2012

     266,872      $ 33.50   
  

 

 

   

 

 

 

 

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Table of Contents

The following table summarizes information about the exercise price and weighted average remaining contractual life of options to purchase units that were outstanding under the Plan as well as options that were exercisable under the Plan as of October 27, 2012:

 

     Options Outstanding      Options Exercisable  

Exercise Prices

   Number
Outstanding
At
October 27, 2012
     Weighted
Average
Remaining
Contractual Life
(Years)
     Number
Exercisable
At
October 27, 2012
     Weighted
Average
Remaining
Contractual Life
(Years)
 

$30.60

     215,151         6.4         118,546         5.9   

$50.00

     54,000         8.8         —           —     

$65.00

     30,667         9.7         —           —     

$120.00

     42,333         9.1         —           —     

$120.60

     123,521         5.2         80,254         4.3   

$270.00

     14,000         0.3         14,000         0.3   
  

 

 

       

 

 

    
     479,672            212,800      
  

 

 

       

 

 

    

The following table summarizes information about the exercise prices and weighted average remaining contractual life of vested options and options expected to vest during the contractual term:

 

Exercise Prices

   Options      Weighted
Average
Remaining
Contractual
Life (Years)
     Weighted
Average
Exercise
Price
 

Vested and Expected to Vest as of October 27, 2012

        

$30.60

     178,560         6.3       $ 30.60   

$50.00

     43,200         8.8       $ 50.00   

$65.00

     24,533         9.7       $ 65.00   

$120.00

     33,867         9.1       $ 120.00   

$120.60

     108,057         5.0       $ 120.60   

$270.00

     14,000         0.3       $ 270.00   
  

 

 

       
     402,217         
  

 

 

       

The fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan during the nine months ended October 27, 2012 and October 29, 2011:

 

     Nine Months Ended  
     October 27,
2012
    October 29,
2011
 

Risk-Free Interest Rate

     1.0 –1.3     2.4 –3.4

Expected Volatility

     35.0     30.3

Expected Life (years)

     6.6        6.4 – 8.5   

Contractual Life (years)

     10        10   

Expected Dividend Yield

     0.0     0.0

Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:

    

$30.60

   $ —        $ —     

$50.00

   $ 28.14      $ 26.75   

$65.00

   $ 47.42      $ —     

$120.00

   $ 30.57      $ 17.67   

$120.60

   $ —        $ —     

The weighted average grant date fair value of options granted has varied from period to period due to changes in the Company’s business enterprise value resulting from changes in the Company’s business forecast, market conditions and the refinancing of the Company’s debt and related dividend.

 

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Table of Contents

Restricted Stock Awards

Under the Plan, the Company also has the ability to grant restricted stock awards. Restricted stock awards typically vest 50% on the second anniversary of the grant and 50% on the third anniversary of the grant. Following a change of control, as defined by the Plan, all unvested units shall accelerate and vest as of the date of such change of control.

The Company did not incur any non-cash restricted stock compensation expense during the three months ended October 27, 2012. During the nine months ended October 27, 2012, the Company recorded $0.5 million of non-cash restricted stock compensation expense. There were no forfeitures of restricted stock during either the three or nine month periods ended October 27, 2012. During the three and nine month periods ended October 29, 2011, the Company recorded $0.3 million and $0.6 million, respectively, of non-cash restricted stock compensation expense. Included in the $0.3 million of restricted stock compensation expense during the three months ended October 29, 2011, the Company recognized $0.1 million of incremental expense related to forfeiture adjustments which increased the expense during the period, as a result of actual forfeitures during the period being less than initially estimated. During the nine month period ended October 29, 2011, the Company’s restricted stock compensation expense was reduced by $0.1 million as a result of forfeitures during the nine months ended October 29, 2011 being higher than initially estimated.

As of October 27, 2012, there was approximately $0.2 million of unearned non-cash stock-based compensation that the Company expects to recognize as expense over the next 2.6 years. Awards of restricted stock are expensed on a straight-line basis over the requisite service period of three years. At October 27, 2012, 91,460 of the outstanding awards of restricted stock were vested.

Non-vested restricted stock transactions during the nine months ended October 27, 2012 are summarized below:

 

     Number of
Awards
    Weighted
Average
Grant Date
Fair Value
Per Awards
 

Non-Vested Restricted Stock Awards Outstanding, January 28, 2012

     28,122      $ 45.96   

Restricted Stock Awards Granted

     5,000        61.12   

Restricted Stock Awards Vested

     (28,122     (45.96
  

 

 

   

 

 

 

Non-Vested Restricted Stock Awards Outstanding, October 27, 2012

     5,000      $ 61.12   
  

 

 

   

 

 

 

9. Other Current Liabilities

Other current liabilities primarily consist of sales tax payable, customer liabilities, accrued payroll costs, self-insurance reserves, accrued operating expenses, payroll taxes payable, current portion of straight line rent liability and other miscellaneous items. Customer liabilities comprised of gift cards and layaway deposits totaled $30.5 million, $29.7 million and $32.2 million as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively.

The Company has risk participation agreements with insurance carriers with respect to workers’ compensation, general liability insurance and health insurance. Pursuant to these arrangements, the Company is responsible for paying individual claims up to designated dollar limits. The amounts included in costs related to these claims are estimated and can vary based on changes in assumptions or claims experience included in the associated insurance programs. An increase in worker’s compensation or health insurance claims by employees or general liability claims may result in a corresponding increase in costs related to these claims. Self-insurance reserves were $47.7 million, $49.6 million and $47.3 million, as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively. At October 27, 2012, January 28, 2012 and October 29, 2011, the portion of self-insurance reserve expected to be paid in the next twelve months of $18.8 million, $19.1 million and $18.0 million, respectively, were recorded in the line item “Other Current Liabilities” in the Company’s Condensed Consolidated Balance Sheets. The remaining respective balances of $28.9 million, $30.5 million and $29.3 million were recorded in the line item “Other Liabilities” in the Company’s Condensed Consolidated Balance Sheets.

10. Commitments and Contingencies

Legal

The Company establishes reserves relating to legal claims, in connection with litigation to which the Company is party from time to time in the ordinary course of business. The aggregate amounts of such reserves were $1.0 million, $6.1 million and $3.9 million as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively. The Company believes that potential liabilities in excess of those recorded will not have a material effect on the Company’s Consolidated Financial Statements. However, there can be no assurances to this effect.

 

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Table of Contents

There have been no significant changes in the Company’s commitments and contingencies from those disclosed in the Fiscal 2011 10-K, except as noted below:

Lease Agreements

The Company enters into lease agreements during the ordinary course of business in order to secure favorable store locations. As of October 27, 2012, the Company was committed to four new lease agreements (inclusive of one relocation) for locations at which stores are expected to be opened during the remainder of Fiscal 2012. Inclusive of these new leases, the Company’s minimum lease payments for all operating leases are expected to be $64.6 million, $225.1 million, $211.1 million, $187.8 million and $799.8 million for the remainder of the fiscal year ended February 2, 2013, and the fiscal years ended February 1, 2014, January 31, 2015, January 30, 2016 and January 28, 2017 and all subsequent years thereafter, respectively.

Letters of Credit

The Company had letters of credit arrangements with various banks in the aggregate amount of $36.0 million and $40.5 million as of October 27, 2012 and October 29, 2011, respectively. Based on the terms of the credit agreement related to the ABL Line of Credit, the Company had the ability to enter into letters of credit up to $542.3 million and $401.3 million as of October 27, 2012 and October 29, 2011, respectively. Among these arrangements as of October 27, 2012 and October 29, 2011, the Company had letters of credit in the amount of $26.2 million and $30.7 million, respectively, guaranteeing performance under various insurance contracts and utility agreements. In addition, the Company had outstanding letters of credit agreements in the amount $9.8 million at both October 27, 2012 and October 29, 2011, related to certain merchandising agreements.

The Company had irrevocable letters of credit in the amount of $35.3 million as of January 28, 2012. Based on the terms of the credit agreement relating to the ABL Line of Credit, the Company had the ability to enter into letters of credit up to $242.6 million as of January 28, 2012. Letters of credit outstanding at January 28, 2012 amounted to $27.7 million, guaranteeing performance under various lease agreements, insurance contracts and utility agreements. The Company also had letters of credit in the amount of $7.6 million at January 28, 2012 related to certain merchandising agreements.

11. Subsequent Events

As a result of the effects of Hurricane Sandy on October 29, 2012, 134 of the Company’s stores were closed for at least one day during the fourth quarter Fiscal 2012, of which one store was closed permanently. Three of the Company’s stores experienced significant damage, which led to merchandise inventory totaling approximately $5.8 million at retail being totally destroyed and written off by the Company in the fourth quarter of Fiscal 2012. The Company is insured at the selling price of the inventory less a deductible and believes it will be reimbursed in excess of the net book value of the merchandise inventory. The Company also incurred losses related to the long lived assets at these stores which had a net book value of approximately $1.3 million. These assets will be disposed of and written down to zero during the fourth quarter of Fiscal 2012. The Company is insured at replacement costs for these assets.

12. Condensed Guarantor Data

Holdings and subsidiaries of BCFWC have fully, jointly, severally, and unconditionally guaranteed BCF’s obligations under the ABL Line of Credit, Term Loan Facility and the Senior Note. The following condensed consolidating financial statements present the financial position, results of operations and cash flows of Holdings, BCFW and the guarantor subsidiaries. The Company has one immaterial non-guarantor subsidiary that is not wholly-owned and is considered to be “minor” as that term is defined in Rule 3-10 of Regulation S-X promulgated by the Securities and Exchange Commission.

Neither the Company nor any of its subsidiaries may declare or pay cash dividends or make other distributions of property to any affiliate unless such dividends are used for certain specified purposes including, among others, to pay general corporate and overhead expenses incurred by Holdings in the ordinary course of business, or the amount of any indemnification claims made by any director or officer of Holdings or the Company, or to pay taxes that are due and payable by Holdings or any of its direct or indirect subsidiaries.

 

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Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

     As of October 27, 2012  
     Holdings     BCFW     Guarantors      Eliminations     Consolidated  

ASSETS

           

Current Assets:

           

Cash and Cash Equivalents

   $ —        $ 26,998      $ 3,171       $ —        $ 30,169   

Restricted Cash and Cash Equivalents

     —          34,800        —           —          34,800   

Accounts Receivable

     —          33,550        10,088         —          43,638   

Merchandise Inventories

     —          —          844,991         —          844,991   

Deferred Tax Asset

     —          8,497        7,786         —          16,283   

Prepaid and Other Current Assets

     —          14,760        31,413         —          46,173   

Prepaid Income Tax

     —          28,909        3,052         —          31,961   

Intercompany Receivable

     —          —          445,568         (445,568     —     

Assets Held for Sale

     —          —          483         —          483   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Assets

     —          147,514        1,346,552         (445,568     1,048,498   

Property and Equipment - Net of Accumulated Depreciation

     —          77,361        816,329         —          893,690   

Tradenames

     —          238,000        —           —          238,000   

Favorable Leases - Net of Accumulation Amortization

     —          —          338,443         —          338,443   

Goodwill

     —          47,064        —           —          47,064   

Investment in Subsidiaries

     —          2,095,171        —           (2,095,171     —     

Other Assets

     —          26,422        87,885         —          114,307   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Assets

   $ —          2,631,532        2,589,209         (2,540,739     2,680,002   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

           

Current Liabilities:

           

Accounts Payable

   $ —          678,092        —           —          678,092   

Other Current Liabilities

     —          122,032        130,884         —          252,916   

Intercompany Payable

     —          445,568        —           (445,568     —     

Current Maturities of Long Term Debt

     —          4,753        762         —          5,515   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Liabilities

     —          1,250,445        131,646         (445,568     936,523   

Long Term Debt

     —          1,399,854        22,717         —          1,422,571   

Other Liabilities

     —          48,624        168,689         —          217,313   

Deferred Tax Liability

     —          83,096        170,986         —          254,082   

Investment in Subsidiaries

     150,487        —          —           (150,487     —     

Stockholder’s (Deficit) Equity:

           

Common Stock

     —          —          —           —          —     

Capital in Excess of Par Value

     477,298        477,298        1,063,182         (1,540,480     477,298   

(Accumulated Deficit) Retained Earnings

     (627,785     (627,785     1,031,989         (404,204     (627,785
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

     (150,487     (150,487     2,095,171         (1,944,684     (150,487
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

   $ —          2,631,532        2,589,209         (2,540,739     2,680,002   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

 

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Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Consolidated Balance Sheets

(All amounts in thousands)

 

     As of January 28, 2012  
     Holdings     BCFW     Guarantors      Eliminations     Consolidated  

ASSETS

           

Current Assets:

           

Cash and Cash Equivalents

   $ —        $ 11,522      $ 24,142       $ —        $ 35,664   

Restricted Cash and Cash Equivalents

     —          34,800        —           —          34,800   

Accounts Receivable

     —          21,037        19,082         —          40,119   

Merchandise Inventories

     —          —          682,260         —          682,260   

Deferred Tax Assets

     —          10,008        13,235         —          23,243   

Prepaid and Other Current Assets

     —          13,628        26,434         —          40,062   

Prepaid Income Taxes

     —          18,964        2,355         —          21,319   

Intercompany Receivable

     —          —          471,255         (471,255     —     

Assets Held for Disposal

     —          —          521         —          521   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Assets

     —          109,959        1,239,284         (471,255     877,988   

Property and Equipment—Net of Accumulated Depreciation

     —          80,220        784,995         —          865,215   

Tradenames

     —          238,000        —           —          238,000   

Favorable Leases—Net of Accumulated Amortization

     —          —          359,903         —          359,903   

Goodwill

     —          47,064        —           —          47,064   

Investment in Subsidiaries

     —          1,995,796        —           (1,995,796     —     

Other Assets

     —          31,696        81,277         —          112,973   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Assets

   $ —        $ 2,502,735      $ 2,465,459       $ (2,467,051   $ 2,501,143   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

           

Current Liabilities:

           

Accounts Payable

   $ —        $ 276,285      $ —         $ —        $ 276,285   

Other Current Liabilities

     —          134,874        86,469         —          221,343   

Intercompany Payable

     —          471,255        —           (471,255     —     

Current Maturities of Long Term Debt

     —          6,953        706         —          7,659   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Liabilities

     —          889,367        87,175         (471,255     505,287   

Long Term Debt

     —          1,582,169        23,295         —          1,605,464   

Other Liabilities

     —          56,909        167,443         —          224,352   

Deferred Tax Liability

     —          85,235        191,750         —          276,985   

Investment in Subsidiaries

     110,945        —          —           (110,945     —     

Commitments and Contingencies

     —          —          —           —          —     

Stockholder’s (Deficit) Equity:

           

Common Stock

     —          —          —           —          —     

Capital in Excess of Par Value

     474,569        474,569        1,063,180         (1,537,749     474,569   

(Accumulated Deficit) Retained Earnings

     (585,514     (585,514     932,616         (347,102     (585,514
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

     (110,945     (110,945     1,995,796         (1,884,851     (110,945
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Liabilities and Stockholder’s Equity (Deficit)

   $ —        $ 2,502,735      $ 2,465,459       $ (2,467,051   $ 2,501,143   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

 

20


Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

     As of October 29, 2011  
     Holdings     BCFW     Guarantors      Eliminations     Consolidated  

ASSETS

           

Current Assets:

           

Cash and Cash Equivalents

   $ —        $ 12,789      $ 33,054       $ —        $ 45,843   

Restricted Cash and Cash Equivalents

     —          34,800        22         —          34,822   

Accounts Receivable

     —          30,520        11,426         —          41,946   

Merchandise Inventories

     —          —          945,719         —          945,719   

Deferred Tax Asset

     —          7,421        18,570         —          25,991   

Prepaid and Other Current Assets

     —          15,047        28,149         —          43,196   

Income Tax Receivable

     —          45,973        3,301         —          49,274   

Intercompany Receivable

     —          —          92,440         (92,440     —     

Assets Held for Sale

     —          —          521         —          521   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Assets

     —          146,550        1,133,202         (92,440     1,187,312   

Property and Equipment – Net of Accumulated Depreciation

     —          79,979        801,463         —          881,442   

Tradenames

     —          238,000        —           —          238,000   

Favorable Leases – Net of Accumulation Amortization

     —          —          367,493         —          367,493   

Goodwill

     —          47,064        —           —          47,064   

Investment in Subsidiaries

     —          1,876,968        —           (1,876,968     —     

Other Assets

     —          33,627        56,631           90,258   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Assets

   $ —        $ 2,422,188      $ 2,358,789       $ (1,969,408   $ 2,811,569   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

           

Current Liabilities:

           

Accounts Payable

   $ —        $ 650,079      $ 73       $ —        $ 650,152   

Other Current Liabilities

     —          127,899        111,946         —          239,845   

Intercompany Payable

     —          92,440        —           (92,440  

Current Maturities of Long Term Debt

     —          5,000        728           5,728   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Current Liabilities

     —          875,418        112,747         (92,440     895,725   

Long Term Debt

     —          1,581,759        23,479         —          1,605,238   

Other Liabilities

     —          48,495        159,909         —          208,404   

Deferred Tax Liability

     —          87,423        185,686         —          273,109   

Investment in Subsidiaries

     170,907        —          —           (170,907     —     

Stockholder’s (Deficit) Equity:

           

Common Stock

     —          —          —           —          —     

Capital in Excess of Par Value

     472,431        472,431        1,063,182         (1,535,613     472,431   

(Accumulated Deficit) Retained Earnings

     (643,338     (643,338     813,786         (170,448     (643,338
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

     (170,907     (170,907     1,876,968         (1,706,061     (170,907
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

   $ —        $ 2,422,188      $ 2,358,789       $ (1,969,408   $ 2,811,569   
  

 

 

   

 

 

   

 

 

    

 

 

   

 

 

 

 

21


Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

     For the Nine Months Ended October 27, 2012  
     Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

          

Net Sales

   $ —        $ —        $ 2,814,497      $ —        $ 2,814,497   

Other Revenue

     —          175        22,876        —          23,051   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     —          175        2,837,373        —          2,837,548   

COSTS AND EXPENSES:

          

Cost of Sales

     —          —          1,757,823        —          1,757,823   

Selling and Administrative Expenses

     —          143,942        804,490        —          948,432   

Restructuring and Separation Costs

     —          1,783        658        —          2,441   

Depreciation and Amortization

     —          19,526        101,222        —          120,748   

Impairment Charges – Long-Lived Assets

     —          —          1,100        —          1,100   

Other Income, Net

     —          (3,022     (3,308     —          (6,330

Loss on Extinguishment of Debt

       3,413        —          —          3,413   

Interest Expense

     —          83,001        1,528        —          84,529   

Loss (Earnings) from Equity Investment

     42,644        (99,375     —          56,731        —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

     42,644        149,268        2,663,513        56,731        2,912,156   

(Loss) Income Before (Benefit) Provision for Income Taxes

     (42,644     (149,093     173,860        (56,731     (74,608

(Benefit) Provision for Income Taxes

     —          (106,449     74,485        —          (31,964
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

   $ (42,644   $ (42,644   $ 99,375      $ (56,731   $ (42,644
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

   $ (42,644   $ (42,644   $ 99,375      $ (56,731   $ (42,644
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

22


Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

     For the Three Months Ended October 27, 2012  
     Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

          

Net Sales

   $ —        $ —        $ 967,894      $ —        $ 967,894   

Other Revenue

     —          97        7,861        —          7,958   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     —          97        975,755        —          975,852   

COSTS AND EXPENSES:

          

Cost of Sales

     —          —          594,389        —          594,389   

Selling and Administrative Expenses

     —          45,903        289,203        —          335,106   

Restructuring and Separation Costs

     —          413        222        —          635   

Depreciation and Amortization

     —          6,290        34,554        —          40,844   

Impairment Charges – Long-Lived Assets

     —          —          1,021        —          1,021   

Other Income, Net

     —          (942     (971     —          (1,913
          

Interest Expense

     —          26,921        500        —          27,421   

Loss (Earnings) from Equity Investment

     7,447        (21,598     —          14,151        —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

     7,447        56,987        918,918        14,151        997,503   

(Loss) Income Before (Benefit) Provision for Income Taxes

     (7,447     (56,890     56,837        (14,151     (21,651

(Benefit) Provision for Income Taxes

     —          (49,443     35,239        —          (14,204
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

   $ (7,447   $ (7,447   $ 21,598      $ (14,151   $ (7,447
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

   $ (7,447   $ (7,447   $ 21,598      $ (14,151   $ (7,447
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

23


Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

     For the Nine Months Ended October 29, 2011  
     Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

          

Net Sales

   $ —        $ —        $ 2,621,094      $ —        $ 2,621,094   

Other Revenue

     —          294        22,189        —          22,483   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     —          294        2,643,283        —          2,643,577   

COSTS AND EXPENSES:

          

Cost of Sales

     —          —          1,625,163        —          1,625,163   

Selling and Administrative Expenses

     —          129,272        753,396        —          882,668   

Restructuring and Separation Costs

     —          3,025        2,596        —          5,621   

Depreciation and Amortization

     —          17,070        96,104        —          113,174   

Impairment Charges – Long-Lived Assets

     —          —          34        —          34   

Other Income, Net

     —          (4,285     (2,730     —          (7,015

Loss on Extinguishment of Debt

       36,042        1,722        —          37,764   

Interest Expense

     —          95,352        2,624        —          97,976   

Loss (Earnings) from Equity Investment

     64,096        (94,231     —          30,135        —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

     64,096        182,245        2,478,909        30,135        2,755,385   

(Loss) Income Before (Benefit) Provision for Income Taxes

     (64,096     (181,951     164,374        (30,135     (111,808

(Benefit) Provision for Income Taxes

     —          (117,855     70,143        —          (47,712
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

   $ (64,096   $ (64,096   $ 94,231      $ (30,135   $ (64,096
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

   $ (64,096   $ (64,096   $ 94,231      $ (30,135   $ (64,096
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

24


Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

     For the Three Months Ended October 29, 2011  
     Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

          

Net Sales

   $ —        $ —        $ 898,663      $ —        $ 898,663   

Other Revenue

     —          114        8,026        —          8,140   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     —          114        906,689        —          906,803   

COSTS AND EXPENSES:

          

Cost of Sales

     —          —          540,807        —          540,807   

Selling and Administrative Expenses

     —          46,597        270,537        —          317,134   

Restructuring and Separation Costs

     —          (895     1,326        —          431   

Depreciation and Amortization

     —          6,482        32,706        —          39,188   

Other Income, Net

     —          (1,268     (629     —          (1,897

Interest Expense

     —          34,293        519        —          34,812   

Loss (Earnings) from Equity Investment

     10,277        (31,361     —          21,084        —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

     10,277        53,848        845,266        21,084        930,475   

(Loss) Income Before (Benefit) Provision for Income Taxes

     (10,277     (53,734     61,423        (21,084     (23,672

(Benefit) Provision for Income Taxes

     —          (43,457     30,062        —          (13,395
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

   $ (10,277   $ (10,277   $ 31,361      $ (21,084   $ (10,277
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

   $ (10,277   $ (10,277   $ 31,361      $ (21,084   $ (10,277
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

     For the Nine Months Ended October 27, 2012  
     Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

          

Net Cash Provided by Operating Activities

   $ —        $ 255,010      $ 58,186      $ —        $ 313,196   

INVESTING ACTIVITIES

          

Cash Paid For Property and Equipment

     —          (24,955     (104,299     —          (129,254

Proceeds Received from Sale of Fixed Assets

     —          —          407        —          407   

Lease Rights Acquired

     —          —          (430     —          (430
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

     —          (24,955     (104,322     —          (129,277
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

          

Proceeds from Long Term Debt – ABL Line of Credit

     —          404,500        —          —          404,500   

Proceeds from Long Term Debt – Term Loan

     —          116,913        —          —          116,913   

Principal Payments on Long Term Debt – ABL Line of Credit

     —          (572,800     —          —          (572,800

Principal Payments on Long Term Debt

     —          —          (521     —          (521

Principal Payments on Long Term Debt – Term Loan

     —          (135,749     -        —          (135,749

Debt Issuance Cost

     —          (807     -        —          (807

Stock Option Exercise and Related Tax Benefits

     —          761        -        —          761   

Intercompany Borrowings (Payments)

     —          (25,687     25,687          —     

Payment of Dividends

     (1,711     (1,711     —          1,711        (1,711

Receipt of Dividends

     1,711        —          —          (1,711     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

     —          (214,580     25,166        —          (189,414

Increase in Cash and Cash Equivalents

     —          15,475        (20,970     —          (5,495

Cash and Cash Equivalents at Beginning of Period

     —          11,523        24,141        —          35,664   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

   $ —        $ 26,998      $ 3,171      $ —        $ 30,169   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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Table of Contents

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

     For the Nine Months Ended October 29, 2011  
     Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

          

Net Cash Provided by Operating Activities

   $ —        $ 325,478      $ (100,296   $ —        $ 225,182   

INVESTING ACTIVITIES

          

Cash Paid For Property and Equipment

     —          (36,588     (79,658     —          (116,246

Proceeds Received from Sale of Fixed Assets

     —          —          663        —          663   

Lease Rights Acquired

     —          —          (557     —          (557

Change in Restricted Cash and Cash Equivalents

     —          (7000     2,442        —          (4,558

Investing Activity – Other

     —          (1,064     —          —          (1,064
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

     —          (44,652     (77,110     —          (121,762
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

          

Proceeds from Long Term Debt – ABL Line of Credit

     —          687,800        —          —          687,800   

Proceeds from Long Term Debt – Notes Payable

     —          450,000        —          —          450,000   

Proceeds from Long Term Debt – Term Loan

     —          991,158        —          —          991,158   

Principal Payments on Long Term Debt – ABL Line of Credit

     —          (698,300     —          —          (698,300

Principal Payments on Long Term Debt – Senior Discount Notes

     —          —          (99,309     —          (99,309

Principal Payments on Long Term Debt – Senior Notes

     —          (302,056     —          —          (302,056

Principal Payments on Long Term Debt

     —          —          (622     —          (622

Principal Payments on Long Term Debt – Term Loan

     —          (790,050     —          —          (790,050

Debt Issuance Cost

     —          (29,255     —          —          (29,255

Stock Option Exercise and Related Tax Benefits

     —          760        —          —          760   

Intercompany Borrowings (Payments)

     —          (287,345     287,345        —          —     

Payment of Dividends

     (297,917     (297,917     —          297,917        (297,917

Receipt of Dividends

     297,917        —          —          (297,917     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

     —          (275,205     187,414        —          (87,791

Increase in Cash and Cash Equivalents

     —          5,621        10,008        —          15,629   

Cash and Cash Equivalents at Beginning of Period

     —          7,168        23,046        —          30,214   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

   $ —        $ 12,789      $ 33,054      $ —        $ 45,843   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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Table of Contents

BURLINGTON COAT FACTORY INVESTMENTS HOLDINGS, INC. AND SUBSIDIARIES

Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

The Company’s management intends for this discussion to provide the reader with information that will assist in understanding the Company’s financial statements, the changes in certain key items in those financial statements from period to period, and the primary factors that accounted for those changes, as well as how certain accounting principles affect our financial statements. All discussions of operations in this report relate to Burlington Coat Factory Warehouse Corporation and its subsidiaries, which are reflected in the financial statements of Burlington Coat Factory Investments Holdings, Inc. and its subsidiaries (hereinafter we or our or Holdings). The following discussion contains forward-looking information and should be read in conjunction with the Condensed Consolidated Financial Statements and notes thereto included elsewhere in this report and in our Annual Report on Form 10-K related to the fiscal year ended January 28, 2012 (Fiscal 2011 10-K). Our actual results could differ materially from the results contemplated by these forward-looking statements due to various factors, including those discussed under the section of this Item 2 entitled “Safe Harbor Statement.”

Fiscal Year

Fiscal 2012 is defined as the 53 week year ending February 2, 2013. We define the 2011 fiscal year (Fiscal 2011) and the 2010 fiscal year (Fiscal 2010) as the 52 week periods ending January 28, 2012 and January 29, 2011, respectively.

Overview

Three Month Period Ended October 27, 2012 Compared with the Three Month Period ended October 29, 2011

Consolidated net sales increased $69.2 million, or 7.7%, to $967.9 million for the three months ended October 27, 2012 from $898.7 million for the three months ended October 29, 2011. This increase was primarily attributable to an increase in sales related to new stores and stores previously opened that are not included in our comparable store sales as well as a 2.1%, or $19.1 million, increase in our comparable store sales. We believe the comparable store sales increase was due primarily to our ongoing initiatives as discussed in further detail below (refer to the sections below entitled “Ongoing Initiatives for Fiscal 2012” and “Three Month Period Ended October 27, 2012 compared with the Three Month Period Ended October 29, 2011” for further explanation).

Cost of sales increased $53.6 million, or 9.9%, during the three month period ended October 27, 2012 compared with the three month period ended October 29, 2011. The dollar increase in cost of sales was primarily related to sales from 25 net new stores that were opened since October 29, 2011 as well as our 2.1%, or $19.1 million, comparable store sales increase.

Cost of sales as a percentage of net sales increased to 61.4% during the three months ended October 27, 2012 compared with 60.2% during the three months ended October 29, 2011. The increase in cost of sales as a percentage of net sales was primarily driven by lower initial markups partially offset by fewer markdowns taken and a lower shrink accrual rate.

Total selling and administrative expenses increased $18.0 million, or 5.7%, during the three months ended October 27, 2012 compared with the three months ended October 29, 2011, primarily related to new stores and stores that were not operating for the full three months ended October 29, 2011 but did operate for the full three months ended October 27, 2012. Selling and administrative expenses as a percentage of sales decreased to 34.6% during the three months ended October 27, 2012 from 35.3% during the three months ended October 29, 2011. The decrease in selling and administrative expenses as a percentage of net sales was primarily related to our 2.1% comparable store sales growth (refer to the section below entitled “Three Month Period Ended October 27, 2012 compared with the Three Month Period Ended October 29, 2011” for further explanation).

We recorded a net loss of $7.4 million for the three month period ended October 27, 2012 compared with a net loss of $10.3 million for the three month period ended October 29, 2011. The improvement in our net loss position was primarily driven by our 2.1% increase in comparable store sales and a reduction in interest expense as a result of our refinancing, partially offset by a deterioration in gross margin (refer to the section below entitled “Three Month Period Ended October 27, 2012 compared with the Three Month Period Ended October 29, 2011” for further explanation).

Nine Month Period Ended October 27, 2012 Compared with the Nine Month Period ended October 29, 2011

Consolidated net sales increased $193.4 million, or 7.4%, to $2,814.5 million for the nine months ended October 27, 2012 from $2,621.1 million for the nine months ended October 29, 2011. This increase was primarily attributable to an increase in sales related to new stores, stores previously opened that are not included in our comparable store sales, and a 1.8%, or $47.9 million, increase in our comparable store sales. We believe the comparable store sales increase was due primarily to our ongoing initiatives as discussed in further detail below (refer to the sections below entitled “Ongoing Initiatives for Fiscal 2012” and “Nine Month Period Ended October 27, 2012 compared with the Nine Month Period Ended October 29, 2011” for further explanation).

 

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Table of Contents

Cost of sales increased $132.6 million, or 8.2%, during the nine month period ended October 27, 2012 compared with the nine month period ended October 29, 2011. The dollar increase in cost of sales was primarily related to sales from 25 net new stores that were opened since October 29, 2011 as well as our 1.8%, or $47.9 million, comparable store sales increase.

Cost of sales as a percentage of net sales during the nine months ended October 27, 2012 increased to 62.5% from 62.0% for the nine months ended October 29, 2011 primarily driven by lower initial markups partially offset by fewer markdowns taken and a lower shrink accrual rate (refer to the section below entitled “Nine Month Period Ended October 27, 2012 compared with the Nine Month Period Ended October 29, 2011” for further explanation).

Total selling and administrative expenses increased $65.8 million, or 7.5%, during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011, primarily related to new stores. At October 27, 2012, we operated 497 stores compared with 472 stores at October 29, 2011. Selling and administrative expenses as a percentage of sales during the nine months ended October 27, 2012 remained in line with the nine months ended October 29, 2011 at 33.7% (refer to the section below entitled “Nine Month Period Ended October 27, 2012 compared with the Nine Month Period Ended October 29, 2011” for further explanation).

We recorded a net loss of $42.6 million for the nine month period ended October 27, 2012 compared with a net loss of $64.1 million for the nine month period ended October 29, 2011. The improvement in our results during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily attributable to the impact of a $37.8 million loss on extinguishment of debt that occurred during the nine months ended October 29, 2011 related to our debt refinancing transactions, compared to a loss on extinguishment of debt during the nine months ended October 27, 2012 of only $3.4 million. These items are discussed in further detail below under the caption “Nine Month Period Ended October 27, 2012 compared with the Nine Month Period Ended October 29, 2011.”

Debt Refinancing

On May 16, 2012, we entered into Amendment No. 1 (the Amendment) to the credit agreement governing our term loan credit agreement (the Term Loan Credit Agreement) in order to, among other things, reduce the applicable margin on the interest rates applicable to our $1,000.0 million Senior Secured Term Loan Facility (Term Loan Facility) by 50 basis points. To accomplish this interest rate reduction, the Amendment provided for a replacement of the previously outstanding $950.5 million principal amount of term B loans (the Term B Loans) with a like aggregate principal amount of term B-1 loans (the Term B-1 Loans). We offered existing term loan lenders the option to convert their Term B Loans into Term B-1 Loans on a non-cash basis. The $119.3 million Term B Loans held by existing lenders electing not to convert their Term B Loans into Term B-1 Loans were prepaid in full on the effective date of the Amendment from the proceeds of new Term B-1 Loans.

The Term B-1 Loans have the same maturity date that was applicable to the Term B Loans. The Term Loan Credit Agreement provisions relating to the representations and warranties, covenants and events of default applicable to the Company and the guarantors were not modified by the Amendment.

Current Conditions

Store Openings, Closings, and Relocations.

During the nine months ended October 27, 2012, we opened 21 Burlington Coat Factory Warehouse Stores (BCF Stores) and closed one store. As of October 27, 2012, we operated 497 stores under the names “Burlington Coat Factory Warehouse” (479 stores), “Cohoes Fashions” (two stores), “Super Baby Depot” (two stores) and 14 shoe stores under the names “MJM Designer Shoes” (13 stores) and “Burlington Shoes” (one store).

We continue to pursue our growth plans and invest in capital projects that meet our financial requirements. We currently plan to open four new stores (inclusive of one relocation) during the remainder of Fiscal 2012.

Ongoing Initiatives for Fiscal 2012

We continue to focus on a number of ongoing initiatives aimed at increasing our overall profitability by improving our comparable store sales trends, total sales growth and reducing expenses. These initiatives include, but are not limited to:

 

  I. Continuing to Offer a Leading Selection of Branded Apparel at Every Day Low Prices (EDLP): We offer broad product assortments to provide our customers with a wider selection and variety of branded products and categories than that of our off-price competitors. Our selection of youth apparel, including special occasion clothing, as well as our baby clothing, furniture and care items are key offering differentiators from department stores’ selections. In contrast to merchandise at department and specialty stores, our merchandise is offered at EDLP, allowing customers to obtain great values at our stores without waiting for sales or promotions. We focus on delivering exceptional values that fit within a good, better and best pricing strategy.

 

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  II. Continuing to Execute Our Open to Buy Model and Improve Merchandising: Our “open to buy” paradigm, in which we purchase both pre-season and in-season merchandise, improves our receipt-to-reduction ratio and enables more flexibility for buying “wear-now” products. Our receipt-to-reduction ratio matches forecasted levels of receipts to forecasted inventory outflows (inclusive of sales, markdowns, and inventory shrinkage) on a monthly basis. Our buying model continues to be focused on purchasing less pre-season, with the majority purchased in-season and opportunistically. Less pre-season purchasing allows us to buy more in-season product to capitalize on strong performing categories and businesses as well as to take full advantage of the current levels of highly desirable opportunistic product in the marketplace. We are also able to better appeal to our core female customer by improving product freshness and broadening brand assortments.

 

  III. Continuing to Improve Our Store Experience Through the Eyes of the Customer: We have empowered our store teams to provide an outstanding customer experience for every customer in every store, every day. We will continue to streamline processes to create opportunities for fast and effective customer interactions wherever possible. Our mission is to have stores that reflect clean, organized merchandise presentations that highlight the brands, value and diversity of our selection within our assortments.

We plan to continue execution of this initiative throughout Fiscal 2012 by:

 

  a) Continuing with our in-store customer satisfaction program that measures 13 different aspects of customer satisfaction. Examples include: friendliness of associates, interior cleanliness and selection of merchandise;

 

  b) Continuing the implementation of a store upgrade program with respect to stores that we have identified as having certain needs such as new flooring, lighting and graphics, painting and fitting rooms and various other improvements;

 

  c) Continuing to train, develop and recognize our store employees so that they can continue to provide an outstanding customer experience. Our goal is to provide an outstanding customer experience to every customer in every store, every time they enter the store. We expect to accomplish this through enhanced training and education programs, the continuing evolution of our Manager On Duty program and our enhanced associate and store recognition programs. Through these, and other directives, we expect to keep our store managers and store associates focused on core behaviors that will enhance the customer experience and ultimately drive sales; and

 

  d) Continuing to improve our execution within the stores in order to get goods to the floor more quickly in a manner that makes it easier for the customer to find what they are looking for and to improve the efficiency at checkout.

We plan to accomplish this through:

 

   

enhancing our store receiving procedures so we can get goods from the loading dock to the floor in a more timely manner;

 

   

enhancing our sizing initiatives to make it easier for customers to find the size of the goods they are looking for; and

 

   

enhancing and expanding our queuing project practices such that customers check out through one line where the next available register checks out the next customer in the line, ultimately improving the speed at which customers can get through the checkout process as well as driving incremental sales related to impulse buys while customers are in the queue.

 

  IV. Continuing to Focus on Improving our Customer Loyalty: We continue to focus on enhancing our relationship with our current customer base with the goal of increasing the frequency with which they shop our stores as well as the amount of merchandise they buy during those visits. We intend to accomplish this through:

 

  a) Continuing our improvement of the in-store experience, as previously described and

 

  b) Continuing to enhance the targeting of our message to our customers. We are developing more tactical ways to better communicate with our customers, both nationally and locally.

 

  V. Continuing to Deliver Consistent Gross Margin: We continue to focus on having stable merchandise gross margin as a percentage of net sales. We plan to continue execution of this initiative by:

 

  a) Continuing the implementation of new software applications which will provide for enhanced functionality during Fiscal 2012 and beyond including:

 

   

refined allocation of goods;

 

   

markdown optimization; and

 

   

more efficient planning and forecasting tools.

 

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The foundation of these systems and the new planning tools were completed during Fiscal 2011. The enhanced functionality related to allocation of goods and markdown optimization are planned to be fully implemented during Fiscal 2012 and Fiscal 2013;

 

  b) Continuing to manage our inventory receipt to reduction ratio. By matching receipt dollars to sales and markdown dollars we believe we will continue to maintain liquidity and will be able to take advantage of in season buying opportunities and to capitalize on those businesses that are trending well;

 

  c) Continuing to ensure adequate open to buy and buying more opportunistically in season. By staying liquid, we believe we will put ourselves in a position to be able to take advantage of opportunistic in-season buys that will maximize our sales;

 

  d) Continuing to improve the amount of current inventory as a percentage of our total inventory. By having more current inventory in our merchandise mix, we believe we will be afforded more pricing flexibility to provide additional value to our customers without reducing our overall merchandise margins; and

 

  e) Reducing our shrink as a percentage of net sales. During Fiscal 2011 we added additional resources to help improve existing controls and processes to reduce our shrink as a percentage of net sales without negatively impacting the store experience. We expect to continue to see improved results from this initiative during Fiscal 2012.

 

  VI. Continuing to Improve Upon Operating Efficiencies:

 

  a) Improve store efficiencies. During Fiscal 2011, we implemented an automated store labor scheduling system in our stores. We believe this new system will provide numerous efficiencies without sacrificing our ability to serve our customers, including, but not limited to, better forecasting of volume and workload, improved allocation of manpower to meet customer demand, and support of our store experience and service initiatives.

 

  b) Supply chain efficiencies. We continue to work on several key initiatives to improve supply chain efficiencies and service levels. We will continue to make prudent investments within our distribution network to handle increased volume with greater flexibility. In turn, this should allow us to better support our off-price model and enable our merchants to take advantage of more closeout opportunities.

Additionally, we will continue working towards minimizing costs and improving efficiencies with any expected savings being reinvested into the business. We plan to accomplish this primarily by increasing labor efficiency, strategically reducing our vendor direct to store shipments and reducing our outbound distribution expense through a variety of initiatives.

Uncertainties and Challenges

As management strives to increase profitability through achieving positive comparable store sales and leveraging productivity initiatives focused on improving the in-store experience, more efficient movement of products from the vendors to the selling floors, and modifying our marketing plans to increase our core customer base and increase our share of our current customers’ spending, there are uncertainties and challenges that we face as an off-price retailer of apparel and accessories for men, women and children and home furnishings that could have a material impact on our revenues or income.

Consumer spending habits, including spending for the merchandise that we sell, are affected by, among other things, prevailing economic conditions, inflation, levels of employment, salaries and wage rates, prevailing interest rates, housing costs, energy costs, commodities pricing, income tax rates and policies, consumer confidence and consumer perception of economic conditions. In addition, consumer purchasing patterns may be influenced by consumers’ disposable income, credit availability and debt levels.

A weakness in the U.S. economy, an uncertain economic outlook or a credit crisis could adversely affect consumer spending habits resulting in lower net sales and profits than expected on a quarterly or annual basis. Consumer confidence is also affected by the domestic international political situation. Our financial condition and operations could be impacted by changes in government regulations such as taxes, healthcare reform and other areas. The outbreak or escalation of war or the occurrence of terrorist acts or other hostilities in or affecting the U.S. could lead to a decrease in spending by consumers.

We closely monitor our net sales, gross margin, expenses and working capital. We have performed scenario planning such that if our net sales decline, we have identified variable costs that could be reduced to partially mitigate the impact of these declines. If adverse economic trends continue, or if our efforts to counteract the impacts of these trends are not sufficiently effective, there could be a negative impact on our financial performance and position in future fiscal periods. For further discussion of the risks to us regarding general economic conditions, please refer to the section below entitled “Liquidity and Capital Resources” and the risks discussed in the Fiscal 2011 10-K under the heading “Risk Factors.”

 

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Key Performance Measures

We consider numerous factors in assessing our performance. Key performance measures used by management include comparable store sales, gross margin, inventory, store payroll as a percentage of net sales and liquidity. 

Comparable Store Sales. Comparable store sales measure performance of a store during the current reporting period against the performance of the same store in the corresponding period of the previous year. The method of calculating comparable store sales varies across the retail industry. As a result, our definition of comparable store sales may differ from other retailers. We define comparable store sales as sales of those stores, including online, commencing on the first day of the fiscal month one year after the end of their grand opening activities, which normally conclude within the first two months of operations. For the three and nine months ended October 27, 2012, we experienced increases in comparable store sales of 2.1% and 1.8%, respectively, compared with the three and nine months ended October 29, 2011.

Various factors affect comparable store sales, including, but not limited to, weather conditions, current economic conditions, the timing of our releases of new merchandise and promotional events, the general retail sales environment, consumer preferences and buying trends, changes in sales mix among distribution channels, competition, and the success of marketing programs.

Gross Margin. Gross margin is a measure used by management to indicate whether we are selling merchandise at an appropriate gross profit. Gross margin is the difference between net sales and the cost of sales. Our cost of sales and gross margin may not be comparable to those of other entities, since some entities include all of the costs related to their buying and distribution functions in cost of sales. We include certain of these costs in the line items “Selling and Administrative Expenses” and “Depreciation and Amortization” in our Condensed Consolidated Statements of Operations and Comprehensive Loss. We include in our “Cost of Sales” line item all costs of merchandise (net of purchase discounts and certain vendor allowances), inbound freight, distribution center outbound freight and certain merchandise acquisition costs, primarily commissions and import fees. Gross margin as a percentage of net sales during the three and nine months ended October 27, 2012 decreased to 38.6% and 37.5%, respectively, compared with the three and nine months ended October 29, 2011 at 39.8% and 38.0%, respectively. The decrease in our gross margin as a percentage of sales for the three and nine months ended October 27, 2012 compared with the three and nine months ended October 30, 2011 is the result of our initiative to be more competitively priced initially which has resulted in lower initial markup and in turn an improved inventory turnover ratio, thereby partially offsetting the need to take markdowns. Also partially offsetting the impact of our lower initial markup is a reduction in our shrink accrual rate period over period which is based on our year over year shrink trends. In accordance with our policy, physical inventories are taken during the fourth quarter of the fiscal year at which point our estimated shrink will be adjusted to actual.

Inventory. Inventory at October 27, 2012 was $845.0 million compared with $682.3 million at January 28, 2012. The increase of $162.7 million was primarily the result of the seasonality of our business, as inventory is typically at its lowest levels in January, after the holiday selling season. The increase in inventory resulted in an increase of average store inventory (defined as inventory inclusive of stores and warehouse inventory divided by the total number of stores as of the respective balance sheet date) at October 27, 2012 of approximately 18.9% to $1.7 million per store compared with average store inventory of $1.4 million per store at January 28, 2012.

Inventory at October 27, 2012 decreased $100.7 million from $945.7 million at October 29, 2011 to $845.0 million at October 27, 2012. Average store inventory at October 27, 2012 decreased 15.1% to $1.7 million per store compared with average store inventory of $2.0 million per store at October 29, 2011. Average inventory per comparable store decreased 16.6%. The decrease in both average store inventory and comparable store inventory was the result of our ongoing initiative to reduce inventory levels which we believe will result in faster turns and reduced markdowns.

In order to better serve our customers, and maximize sales, we continue to refine our merchandising mix and inventory levels within our stores. By managing our inventories appropriately we believe we will be better able to deliver a continual flow of fresh merchandise to our customers. We continue to move toward more productive inventories by increasing the amount of current inventory as a percent of total inventory.

We continue to manage our merchandise flow based on a receipt-to-reduction ratio. By matching forecasted levels of receipts to forecasted inventory outflows (inclusive of sales, markdowns and inventory shrinkage) on a monthly basis, we believe we create a more normalized receipt cadence to support sales which will ultimately lead to an improved inventory turnover ratio.

Inventory turnover is a measure that indicates how efficiently inventory is bought and sold. It measures the length of time that we own our inventory. This is significant because usually the longer the inventory is owned, the more likely markdowns may be required to sell the inventory. Inventory turnover is calculated by dividing retail sales before sales discounts by the average retail value of the inventory for the period being measured. This inventory turnover calculation is based on a rolling 13 month average of inventory for the period being measured. Our annualized inventory turnover rate as of October 27, 2012 and October 29, 2011 was 3.0 turns per year and 2.8 turns per year, respectively.

 

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Store Payroll as a Percentage of Net Sales. Store payroll as a percentage of net sales measures our ability to manage our payroll in accordance with increases or decreases in net sales. The method of calculating store payroll varies across the retail industry. As a result, our store payroll as a percentage of net sales may differ from other retailers. We define store payroll as regular and overtime payroll for all store personnel as well as regional and territory personnel, exclusive of payroll charges to corporate and warehouse employees. Store payroll as a percentage of net sales was 11.0% and 10.8% during the three and nine months ended October 27, 2012 compared with 11.1% and 10.8% during the three and nine months ended October 29, 2011, respectively.

Liquidity. Liquidity measures our ability to generate cash. Management measures liquidity through cash flow and working capital position. Cash flow is the measure of cash generated from operating, financing, and investing activities. We experienced a decrease in cash flow of $5.5 million during the nine month period ended October 27, 2012 resulting in a cash and cash equivalent balance of $30.2 million as of October 27, 2012 compared with an increase in cash flow generated during the nine months ended October 29, 2011 of $15.6 million. This decrease was primarily driven by a decrease in cash flow related to repayments, net of borrowings on our ABL Line of Credit of $168.3 million during the nine months ended October 27, 2012 compared with repayments, net of borrowings on our ABL of $10.5 million during the nine months ended October 29, 2011. Also contributing to the decreased cash flow was a smaller increase in accounts payable from January 28, 2012 to October 27, 2012 compared with the accounts payable increase from January 30, 2011 to October 29, 2011 related to our working capital management strategy at the end of each fiscal year. Our working capital management strategy accelerated certain vendor payments at the end of each fiscal year that typically would not have been made until the first quarter of the next fiscal year, which lowered our accounts payable balances at the end of each fiscal year. As our accounts payable balances return to historical levels at the end of the first quarter of each fiscal year, this creates additional cash flow. The decrease during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily driven by fewer accelerated payments made as part of our working capital management strategy during January of Fiscal 2011 compared with January of Fiscal 2010 and the timing of accounts payable payments.

These reductions in cash flow were partially offset by a smaller increase in merchandise inventories from January 28, 2012 to October 27, 2012 compared with the increase from January 29, 2011 to October 29, 2011 which resulted in $138.8 million less in cash outflows related to merchandise inventory.

Changes in working capital also impact our cash flows. Working capital equals current assets (exclusive of restricted cash and cash equivalents) minus current liabilities. Working capital at October 27, 2012 was $77.2 million compared with $337.9 million at January 28, 2012. The decrease in working capital from January 28, 2012 was primarily attributable to an increase in accounts payable related to our year end working capital management strategy.

Working capital at October 27, 2012 decreased $179.6 million from $256.8 million at October 29, 2011 to $77.2 million. The decrease in working capital was primarily attributable to our ongoing initiatives to reduce inventory levels which we believe will result in faster turns and reduced markdowns.

Critical Accounting Policies and Estimates

Our Condensed Consolidated Financial Statements have been prepared in accordance with accounting principles generally accepted in the United States of America. The preparation of these financial statements requires management to make estimates and assumptions that affect (i) the reported amounts of assets and liabilities; (ii) the disclosure of contingent assets and liabilities at the date of the consolidated financial statements; and (iii) the reported amounts of revenues and expenses during the reporting period. On an on-going basis, management evaluates its estimates and judgments, including those related to inventories, long lived assets, intangible assets, goodwill impairment, insurance reserves and income taxes. Historical experience and various other factors, that are believed to be reasonable under the circumstances, form the basis for making estimates and judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results may differ from these estimates under different assumptions or conditions.

Our critical accounting policies and estimates are consistent with those disclosed in our Fiscal 2011 10-K.

Results of Operations

The following table sets forth certain items in the Condensed Consolidated Statements of Operations and Comprehensive Loss as a percentage of net sales for the three and nine month periods ended October 27, 2012 and October 29, 2011.

 

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     Percentage of Net Sales  
     Nine Months Ended     Three Months Ended  
     October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Net Sales

     100.0     100.0     100.0     100.0

Other Revenue

     0.8        0.9        0.8        0.9   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

     100.8        100.9        100.8        100.9   

Cost of Sales

     62.5        62.0        61.4        60.2   

Selling and Administrative Expenses

     33.7        33.7        34.6        35.3   

Restructuring and Separation Costs

     0.1        0.2        0.1        —     

Depreciation and Amortization

     4.3        4.3        4.2        4.3   

Impairment Charges – Long-Lived Assets

     —          —          0.1        —     

Other (Income) Expense, Net

     (0.2     (0.3     (0.2     (0.2

Loss on Extinguishment of Debt

     0.1        1.5        —          —     

Interest Expense

     3.0        3.8        2.8        3.9   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Expense

     103.5        105.2        103.0        103.5   
  

 

 

   

 

 

   

 

 

   

 

 

 

Loss before Income Tax Benefit

     (2.7     (4.3     (2.2     (2.6

Income Tax Benefit

     (1.1     (1.8     (1.5     (1.5
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

     (1.6 )%      (2.5 )%      (0.7 )%      (1.1 )% 
  

 

 

   

 

 

   

 

 

   

 

 

 

Three Month Period Ended October 27, 2012 compared with the Three Month Period Ended October 29, 2011

Net Sales

We experienced an increase in net sales for the three months ended October 27, 2012 compared with the three months ended October 29, 2011. Consolidated net sales increased $69.2 million, or 7.7%, to $967.9 million for the three months ended October 27, 2012 from $898.7 million for the three months ended October 29, 2011. This increase was primarily attributable to the following:

 

   

an increase in net sales of $29.1 million related to 21 new stores opened during Fiscal 2012,

 

   

an increase in net sales of $21.9 million from stores previously opened that were not included in our comparable store sales, and

 

   

an increase in comparable store sales of $19.1 million, or 2.1%, to $910.5 million; partially offset by

 

   

a decrease in net sales of $0.9 million from stores closed since the comparable period last year and other sales adjustments.

We believe the comparable store sales increase was due primarily to our ongoing initiatives as discussed previously under the caption entitled “Ongoing Initiatives for Fiscal 2012.”

Other Revenue

Other revenue (consisting of rental income from leased departments, sublease rental income, layaway, alteration and other service charges, and miscellaneous revenue items) decreased to $8.0 million for the three month period ended October 27, 2012 compared with $8.1 million for the three month period ended October 29, 2011.

Cost of Sales

Cost of sales increased $53.6 million, or 9.9%, during the three month period ended October 27, 2012 compared with the three month period ended October 29, 2011. The dollar increase in cost of sales was primarily related to the increase in net sales as described above. Cost of sales as a percentage of net sales increased to 61.4% during the three months ended October 27, 2012 compared with the three months ended October 29, 2011 of 60.2%. The increase in cost of sales as a percentage of net sales was primarily driven by lower initial markups partially offset by fewer markdowns taken and a lower shrink accrual rate.

 

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Selling and Administrative Expenses

Selling and administrative expenses increased $18.0 million, or 5.7%, for the three month period ended October 27, 2012 compared with the three month period ended October 29, 2011. Selling and administrative expenses decreased to 34.6% of net sales for the three month period ended October 27, 2012 compared with 35.3% of net sales for the three month period ended October 29, 2011. The increase in selling and administrative expenses is summarized in the table below:

 

     (in thousands)  
     Three Months Ended                
     October 27,
2012
     October 29,
2011
     $ Variance      % Change  

Payroll and Payroll Related

   $ 149,318       $ 140,845       $ 8,473         6.0

Advertising

     26,500         22,666         3,834         16.9   

Occupancy

     106,464         103,026         3,438         3.3   

Benefit Costs

     5,857         4,711         1,146         24.3   

Other

     39,989         39,043         946         2.4   

Business Insurance

     6,978         6,843         135         2.0   
  

 

 

    

 

 

    

 

 

    

 

 

 

Selling & Administrative Expenses

   $ 335,106       $ 317,134       $ 17,972         5.7
  

 

 

    

 

 

    

 

 

    

 

 

 

The increase in payroll and payroll related expense of $8.5 million during the three months ended October 27, 2012 compared with the three months ended October 29, 2011 was primarily related to the addition of 25 net new stores as well as stores that were operating for the full three months ended October 27, 2012 that were not operating for the full three months ended October 29, 2011. Amounts related to these stores resulted in an increase in payroll and payroll related costs of $7.2 million. Also contributing to the increase in payroll and payroll related costs was an increase in store, corporate and warehouse payroll of $4.1 million primarily related to our planned investments aimed at improving the execution of our buying model and our customers’ shopping experience and a corresponding increase in payroll taxes of $0.3 million associated with the increased payroll expense. These increases were partially offset by a $3.1 million decrease in stock compensation expense primarily related to an adjustment to the forfeiture rate in the prior year.

The increase in advertising expense of $3.8 million during the three months ended October 27, 2012 compared with the three months ended October 29, 2011 was primarily related to a $1.9 million increase as the result of new stores and stores that operated for the full three month period ended October 27, 2012 that were not operating for the full three months ended October 29, 2011 inclusive of six additional grand openings during the three month period compared with the prior year. Also contributing to the increase in advertising expense is the increase in television and mailing advertisements.

The increase in occupancy related costs of $3.4 million during the three months ended October 27, 2012 compared with the three months ended October 29, 2011 was primarily related to a $7.3 million increase in new stores and stores that operated for the full three month period ended October 27, 2012 that were not operating for the full three months ended October 29, 2011 and a $1.0 million increase in real estate taxes. The increase was partially offset by decreases in utilities expense of $2.3 million and a decrease in maintenance expense of $0.6 million, both resulting from our ongoing initiatives to reduce costs without sacrificing customer satisfaction.

Benefit costs increased $1.1 million for the three months ended October 27, 2012 compared with the three months ended October 29, 2011, primarily attributable to increased participation in our health insurance plans.

Other selling and administrative expenses increased $0.9 million for the three months ended October 27, 2012 compared with the three months ended October 29, 2011, primarily attributable to a $0.8 million increase related to the operation of new stores and stores that were operating for the full three months ended October 27, 2012 that were not operating for the full three months ended October 29, 2011. Also contributing to the increase was a $0.6 million increase in temporary help and a $0.6 million increase in miscellaneous taxes, partially offset by a $0.9 million decrease in credit card fees as a result of the Durbin Amendment.

Restructuring and Separation Costs

Restructuring and separation costs totaled $0.6 million during the three months ended October 27, 2012 compared with $0.4 million during the three months ended October 29, 2011. During the three months ended October 27, 2012, in an effort to improve workflow efficiencies and realign certain responsibilities, we effected a reorganization of certain positions within our stores and corporate locations. As a result of this reorganization, we incurred a charge of $0.6 million.

Depreciation and Amortization

Depreciation and amortization expense related to the depreciation of fixed assets and the amortization of favorable and unfavorable leases amounted to $40.8 million during the three month period ended October 27, 2012 compared with $39.2 million during the three month period ended October 29, 2011. The increase in depreciation and amortization expense is primarily driven by capital expenditures related to investments in our warehouse functions as well as 25 net new stores opened since October 29, 2011.

Impairment Charges - Long-Lived Assets

We incurred a $1.0 million impairment charge during the three months ended October 27, 2012, compared with no impairment charges incurred during the three month period ended October 29, 2011. The impairment charge during the three months ended October 27, 2012 was primarily related to an asset that was classified as held for sale being written down to its fair value. There were no triggering events during these periods that would have required us to perform additional impairment testing.

 

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The recoverability assessment related to these store-level assets requires judgments and estimates of future revenues, gross margin rates and store expenses. We base these estimates upon our past and expected future performance. We believe our estimates are appropriate in light of current market conditions. However, future impairment charges could be required if we do not achieve our current revenue or cash flow projections for each store.

Other Income, Net

Other Income, Net (consisting of investment income, gains and losses on disposition of assets, breakage income and other miscellaneous items) for the three month period ended October 27, 2012 remained in line with the three month period ended October 29, 2011 at $1.9 million.

Interest Expense

Interest expense was $27.4 million for the three month period ended October 27, 2012 compared with $34.8 million for the three month period ended October 29, 2011. The $7.4 million decrease in interest expense was primarily driven by the following:

 

   

a $3.9 million reduction in amortization of deferred debt fees resulting from the May 2012 Term Loan Facility refinancing,

 

   

a $2.4 million decrease in interest expense related to lower average balances and lower interest rates related to our Term Loan Facility as a result of our May 2012 refinancing transaction,

 

   

a $0.7 million reduction in interest expense on our ABL Line of Credit as a result of lower average balances and lower average interest rates, and

 

   

a $0.4 million reduction as a result of our adjustments to our interest rate cap agreements to fair value, as discussed further below.

Adjustments of the interest rate cap agreements to fair value, which are recorded in the line item “Interest Expense” in our Condensed Consolidated Statements of Operations and Comprehensive Loss, amounted to a loss of $0.1 million for the three months ended October 27, 2012 compared with a loss of $0.5 million for the three months ended October 29, 2011. The loss recognized during the three months ended October 27, 2012 was primarily the result of a decrease in the underlying market rates and the passage of time, which in turn, decreased the value of the interest rate cap agreements. These charges resulted in a year over year decrease in interest expense of $0.4 million.

Our average interest rates and average balances related to our Term Loan Facility and our ABL Line of Credit, for the three months ended October 27, 2012 compared with the three months ended October 29, 2011 are summarized in the table below:

 

     Three Months Ended  
     October 27,
2012
    October 29,
2011
 

Average Interest Rate – ABL Line of Credit

     2.1     2.6

Average Interest Rate – Term Loan

     5.5     6.4

Average Balance – ABL Line of Credit

   $ 41.1 million      $  142.1 million   

Average Balance – Term Loan

   $  941.0 million      $ 987.5 million   

Income Tax Benefit

Income tax benefit was $14.2 million and $13.4 million for the three month periods ended October 27, 2012 and October 29, 2011, respectively. The effective tax rates for the three month periods ended October 27, 2012 and October 29, 2011 were 65.6% and 56.6%, respectively. In accordance with ASC Topic No. 270, “Interim Reporting” (Topic No. 270) and ASC Topic No. 740, “Income Taxes” (Topic No. 740), at the end of each interim period we are required to determine the best estimate of our annual effective tax rate and then apply that rate in providing for income taxes on a current year-to-date (interim period) basis. We used this methodology during the third quarter of Fiscal 2012, resulting in the annual effective income tax rate of 38.1% (before discrete items) being our best estimate. The effective tax rate for the three months ended October 27, 2012 was impacted by discrete adjustments that increased the tax benefit by $6.0 million primarily related to the reduction in unrecognized tax benefits (including interest and penalties) upon the closing of ongoing state audits related to filing positions taken by the Company, and true-ups for income tax estimates in prior periods.

Our best estimate of the projected annual effective income tax rate for the three months ended October 29, 2011 was 39.8% (before discrete items). The effective tax rate for the three months ended October 29, 2011 was impacted by discrete adjustments that increased the tax benefit by $0.3 million predominantly relating to tax positions that are considered effectively settled as the result of the finalization of an IRS audit, offset by federal income tax true-ups as well as state tax assessments.

 

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As of October 27, 2012, Congress had not yet extended certain tax credits. As a result, the estimated annual effective tax rate of 38.1% for Fiscal 2012 was lower than the estimated annual effective tax rate of 39.8% for Fiscal 2011 largely due to the effect of these tax credits being excluded from the estimated annual effective tax rate for Fiscal 2012.

Net Loss

Net loss amounted to $7.4 million for the three months ended October 27, 2012 compared with a net loss of $10.3 million for the three months ended October 29, 2011. The improvement in our net loss position was primarily driven by our 2.1% increase in comparable store sales and our reduction in interest expense as a result of our refinancing, partially offset by the previously discussed decrease in gross margin.

Nine Month Period Ended October 27, 2012 compared with Nine Month Period Ended October 29, 2011

Net Sales

We experienced an increase in net sales for the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011. Consolidated net sales increased $193.4 million, or 7.4%, to $2,814.5 million for the nine months ended October 27, 2012 from $2,621.1 million for the nine months ended October 29, 2011. This increase was primarily attributable to the following:

 

   

an increase in net sales of $89.7 million from stores previously opened that were not included in our comparable store sales,

 

   

an increase in net sales of $54.6 million related to 21 new stores opened during the nine months ended October 27, 2012, and

 

   

an increase in comparable store sales of $47.9 million, or 1.8%, to $2,648.3 million; partially offset by

 

   

an increase in net sales of $1.2 million from stores closed since the comparable period last year and other sales adjustments.

We believe the comparable store sales increase was due primarily to our ongoing initiatives as discussed previously under the caption entitled “Ongoing Initiatives for Fiscal 2012.”

Other Revenue

Other revenue (consisting of rental income from leased departments, sublease rental income, layaway, alteration and other service charges, and miscellaneous revenue items) increased to $23.1 million for the nine month period ended October 27, 2012 compared with $22.5 million for the nine month period ended October 29, 2011, primarily driven by an increase in rental income from leased departments as a result of increased sales in our leased departments.

Cost of Sales

Cost of sales increased $132.6 million, or 8.2%, during the nine month period ended October 27, 2012 compared with the nine month period ended October 29, 2011. The dollar increase in cost of sales was primarily related to the increase in net sales during the nine months ended October 27, 2012 compared to the nine months ended October 29, 2011, as discussed above, under the caption entitled “Overview.” Cost of sales as a percentage of net sales during the nine months ended October 27, 2012 increased to 62.5% from 62.0% for the nine months ended October 29, 2011. The increase in cost of sales as a percentage of net sales was primarily driven by lower initial markups partially offset by lower markdown expense and a lower shrink accrual rate.

 

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Selling and Administrative Expenses

Selling and administrative expenses increased $65.8 million, or 7.5%, for the nine month period ended October 27, 2012 compared with the nine month period ended October 29, 2011. Selling and administrative expenses for the nine month period ended October 27, 2012 remained unchanged compared with the nine month period ended October 29, 2011 at 33.7%. The increase in selling and administrative expenses is summarized in the table below:

 

     (in thousands)  
     Nine Months Ended               
     October 27,
2012
     October 29,
2011
     $ Variance     % Change  

Payroll and Payroll Related

   $ 440,428       $ 403,896       $ 36,532        9.0

Occupancy

     307,903         291,874         16,029        5.5   

Benefit Costs

     19,540         13,900         5,640        40.6   

Other

     106,526         102,067         4,459        4.4   

Advertising

     54,436         50,634         3,802        7.5   

Business Insurance

     19,599         20,297         (698     (3.4
  

 

 

    

 

 

    

 

 

   

 

 

 

Selling & Administrative Expenses

   $ 948,432       $ 882,668       $ 65,764        7.5
  

 

 

    

 

 

    

 

 

   

 

 

 

The increase in payroll and payroll related expense of $36.5 million during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily related to the addition of 25 net new stores as well as stores that were operating for the full nine months ended October 27, 2012 that were not operating for the full nine months ended October 29, 2011. Amounts related to these stores resulted in an increase in payroll and payroll related costs of $21.1 million. Also contributing to the increase in payroll and payroll related costs was an increase in store and warehouse payroll of $14.5 million primarily related to our planned investments aimed at improving the execution of our buying model and our customers’ shopping experience, and a corresponding increase in payroll taxes of $2.4 million associated with the increased payroll expense.

The increase in occupancy related costs of $16.0 million during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily related to increases associated with new stores of $12.6 and a $7.9 million increase in stores that operated for the full nine month period ended October 27, 2012 that were not operating for the full nine months ended October 29, 2011. Also contributing to this increase was an increase in comparable store rent of $0.7 million primarily driven by planned increases in rent expense with the passage of time as well as the impact of our straight line rent expense. These increases were partially offset by decreases in utilities expense of $4.1 million as well as a decrease in maintenance expense of $1.6 million, both as a result of our ongoing initiative to reduce costs without sacrificing customer experience.

Benefit costs increased $5.6 million for the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 primarily attributable to increased participation in our health insurance plans.

The increase in other selling and administrative expenses of $4.5 million during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily related to $3.7 million of fees incurred as part of our May 2012 debt refinancing that were expensed in accordance with Topic 470. Also contributing to the increase in other selling and administrative expenses were:

 

   

a $2.7 million increase related to the addition of 25 net new stores as well as stores that were operating for the full nine months ended October 27, 2012 that were not operating for the full nine months ended October 29, 2011,

 

   

an increase in temporary help expense of $2.0 million, primarily related to a planned increase in the number of units being processed through our distribution centers,

 

   

a $1.4 million increase in legal fees and

 

   

increased travel and entertainment of $1.3 million.

These increases were partially offset by a decrease in credit card fees of $4.4 million as a result of the Durbin Amendment and a decrease in the legal reserve of $2.3 million as a result of certain contingencies being settled during the nine months ended October 27, 2012.

The increase in advertising expense of $3.8 million during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily related to a $3.9 million increase related to new stores and stores that operated for the full nine month period ended October 27, 2012 that were not operating for the full nine months ended October 29, 2011 as well as six additional grand openings during the three month period compared with the prior year.

Restructuring and Separation Costs

Restructuring and separation costs totaled $2.4 million during the nine months ended October 27, 2012 compared with $5.6 million during the nine months ended October 29, 2011. During the nine months ended October 27, 2012, in an effort to improve workflow efficiencies and realign certain responsibilities, we effected a reorganization of certain positions within our stores and corporate locations. As a result of the reorganization, we incurred a charge of $2.4 million.

 

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Depreciation and Amortization

Depreciation and amortization expense related to the depreciation of fixed assets and the amortization of favorable and unfavorable leases amounted to $120.7 million during the nine month period ended October 27, 2012 compared with $113.2 million during the nine month period ended October 29, 2011. The increase in depreciation and amortization expense is primarily driven by capital expenditures related to investments in our corporate and warehouse functions as well as 25 net new stores that were opened since October 29, 2011.

Impairment Charges - Long-Lived Assets

We incurred $1.1 million of impairment charges during the nine months ended October 27, 2012, compared with less than $0.1 million of impairment charges incurred during the nine month period ended October 29, 2011. The impairment charge during the nine months ended October 27, 2012 was primarily related to an asset that was classified as held for sale that was written down to its fair value. The impairment during the nine months ended October 29, 2011 was related to fixed asset additions at stores that had been previously impaired and therefore could not support the additional asset value. There were no triggering events during these periods that would have required us to perform additional impairment testing.

The recoverability assessment related to these store-level assets requires judgments and estimates of future revenues, gross margin rates and store expenses. We base these estimates upon our past and expected future performance. We believe our estimates are appropriate in light of current market conditions. However, future impairment charges could be required if we do not achieve our current revenue or cash flow projections for each store.

Other Income, Net

Other Income, Net (consisting of investment income, gains and losses on disposition of assets, breakage income and other miscellaneous items) decreased $0.7 million to $6.3 million for the nine month period ended October 27, 2012 compared with the nine month period ended October 29, 2011, primarily driven by recoveries during the prior nine month period that did not repeat during the nine months ended October 27, 2012.

Loss on Extinguishment of Debt

As discussed above under the caption “Debt Refinancing,” in May of 2012, we entered into the Amendment to the Term Loan Credit Agreement. As a result of this transaction and in accordance with Topic 470, we recognized a non-cash loss on the extinguishment of debt of $3.4 million, which was recorded in the line item Loss on the Extinguishment of Debt in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012.

Comparatively, on February 24, 2011 we completed the refinancing of our $900 million Senior Secured Term Loan, 11.1% Senior Notes, and 14.5% Senior Discount Notes. As a result of these transactions and in accordance with Topic 470, these transactions were determined to be an extinguishment of the previous debt and an issuance of new debt. As a result, we recorded a loss on the extinguishment of debt in the amount of $37.8 million in the line item Loss on Extinguishment of Debt in our Condensed Consolidated Statements of Operations and Comprehensive Loss for the nine months ended October 29, 2011.

Interest Expense

Interest expense was $84.5 million for the nine month period ended October 27, 2012 compared with $98.0 million for the nine month period ended October 29, 2011. The $13.5 million decrease in interest expense was driven by the following:

 

   

a $6.2 million reduction in amortization of deferred financing fees resulting from the May 2012 Term Loan Facility refinancing,

 

   

a $3.6 million reduction in interest expense related to our ABL Line of Credit and Term Loan Facility as a result of lower average balances and lower average interest rates, as further described below,

 

   

a $2.3 million reduction as a result of our adjustments to our interest rate cap agreements to fair value, as described further below, and

 

   

a $1.0 million reduction in commitment fees as a result or our September 2011 amendment to the ABL which reduced the fee on the average daily balance of unused loan commitments.

Adjustments of the interest rate cap agreements to fair value, which are recorded in the line item “Interest Expense” in our Condensed Consolidated Statements of Operations and Comprehensive Loss, amounted to a loss of less than $0.1 million for the nine months ended October 27, 2012 compared with a loss of $2.4 million for the nine months ended October 29, 2011. The loss recognized during the nine months ended October 27, 2012 was primarily the result of a decrease in the underlying market rates, which in turn, decreased the value of the interest rate cap agreements. These charges resulted in a year over year decrease in interest expense of $2.3 million.

 

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Our average interest rates and average balances related to our Term Loan Facility and our ABL Line of Credit, for the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 are summarized in the table below:

 

     Nine Months Ended  
     October 27,
2012
    October 29,
2011
 

Average Interest Rate – ABL Line of Credit

     2.1     3.5

Average Interest Rate – Term Loan

     5.8     6.2

Average Balance – ABL Line of Credit

   $ 45.0 million      $ 82.3 million   

Average Balance – Term Loan

   $  947.3 million      $  970.2 million   

Income Tax Benefit

Income tax benefit was $32.0 million for the nine month period ended October 27, 2012. For the nine months ended October 29, 2011 we recorded income tax benefit of $47.7 million. The effective tax rates for the nine month periods ended October 27, 2012 and October 29, 2011 were 42.8% and 42.7% respectively. In accordance with Topic No. 270 and Topic No. 740, at the end of each interim period we are required to determine the best estimate of our annual effective tax rate and then apply that rate in providing for income taxes on a current year-to-date (interim period) basis. Our best estimate of the annual effective income tax rate as of October 27, 2012 was 38.1% (before discrete items). The effective tax rate for the nine months ended October 27, 2012 was impacted by discrete adjustments that increased the tax benefit by $3.5 million primarily related to the reduction in unrecognized tax benefits (including interest and penalties) upon the closing of ongoing state audits related to filing positions taken by the Company, and true-ups for income tax estimates in prior periods.

Our best estimate of the projected annual effective income tax rate as of October 29, 2011 was 39.8% (before discrete items). The effective tax rate for the nine months ended October 29, 2011 was impacted by discrete adjustments that increased the tax benefit by $3.2 million predominantly relating to state legislation enacted during the quarter, the accrual of interest related to unrecognized tax benefits established in prior years in accordance with Topic No. 740, and tax positions that are considered effectively settled as the result of the finalization of an IRS audit.

Net Loss

We recorded a net loss of $42.6 million for the nine month period ended October 27, 2012 compared with a net loss of $64.1 million for the nine month period ended October 29, 2011. The improvement in our results during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011 was primarily attributable to the impact of a $37.8 million loss on extinguishment of debt that occurred during the nine months ended October 29, 2011 related to our debt refinancing transactions, compared to a loss on extinguishment of debt during the nine months ended October 27, 2012 of only $3.4 million, partially offset by the change in the income tax benefit for the nine months ended October 27, 2012.

Liquidity and Capital Resources

Overview

We fund inventory expenditures during normal and peak periods through cash flows from operating activities, available cash, and our ABL Line of Credit. Liquidity may be affected by the terms we are able to obtain from vendors and their factors. Our working capital needs follow a seasonal pattern, peaking each October and November when inventory is received for the Fall selling season. Our largest source of operating cash flows is cash collections from our customers. In general, our primary uses of cash are providing for working capital, which principally represents the purchase of inventory, the payment of operating expenses, debt servicing, the opening of new stores and the remodeling of existing stores. As of October 27, 2012, we had $542.3 million available on our ABL Line of Credit. The maximum borrowings during the three and nine months ended October 27, 2012 were $84.0 million and $213.7 million, respectively.

Our ability to satisfy interest payment obligations on our outstanding debt and maintain compliance with our debt covenants, as discussed below, will depend largely on our future performance which, in turn, is subject to prevailing economic conditions and to financial, business and other factors beyond our control. If we do not have sufficient cash flow to service interest payment obligations on our outstanding indebtedness and if we cannot borrow or obtain equity financing to satisfy those obligations, our business and results of operations will be materially adversely affected. We cannot be assured that any replacement borrowing or equity financing could be successfully completed on terms similar to our current financing agreements, or at all.

We closely monitor our net sales, gross margin, expenses and working capital. We have performed scenario planning such that if our net sales decline, we have identified variable costs that could be reduced to partially mitigate the impact of these declines and

 

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maintain compliance with our debt covenants. We believe that cash generated from operations, along with our existing cash and our ABL Line of Credit, will be sufficient to fund our expected cash flow requirements and planned capital expenditures for at least the next twelve months as well as the foreseeable future. However, there can be no assurance that we would be able to offset any declines in our comparable store sales with savings initiatives.

Our Term Loan Facility agreement contains financial, affirmative and negative covenants and requires that we, among other things, maintain on the last day of each fiscal quarter a consolidated leverage ratio not to exceed a maximum amount and maintain a consolidated interest coverage ratio of at least a certain amount. The consolidated leverage ratio compares our total debt to Adjusted EBITDA, as each term is defined in the credit agreement governing the Term Loan Facility, for the trailing twelve months, and that ratio may not exceed 6.75 to 1 through October 27, 2012; 6.25 to 1 through November 2, 2013; 5.5 to 1 through November 1, 2014; 5.00 to 1 through October 31, 2015; and 4.75 to 1 January 30, 2016 and thereafter. The consolidated interest coverage ratio compares our consolidated interest expense to Adjusted EBITDA, as each term is defined in the new credit agreement governing the Term Loan Facility, for the trailing twelve months, and that ratio must exceed 1.75 to 1 through October 27, 2012; 1.85 to 1 through November 2, 2013; 2.00 to 1 through October 31, 2015; and 2.10 to 1 at January 30, 2016 and thereafter. Adjusted EBITDA is a non-GAAP financial measure of our liquidity. Adjusted EBITDA, as defined in the credit agreement governing our Term Loan Facility, starts with consolidated net loss for the period and adds back (i) depreciation, amortization, impairments and other non-cash charges that were deducted in arriving at consolidated net loss, (ii) the (benefit) provision for taxes, (iii) interest expense, (iv) advisory fees, and (v) unusual, non-recurring or extraordinary expenses, losses or charges as reasonably approved by the administrative agent for such period. Adjusted EBITDA is used to calculate the consolidated leverage ratio and the interest coverage ratio. We present Adjusted EBITDA because we believe it is a useful supplemental measure in evaluating the performance of our business and provides greater transparency into our results of operations. Adjusted EBITDA provides management, including our chief operating decision maker, with helpful information with respect to our operations such as our ability to meet our future debt service, fund our capital expenditures and working capital requirements, and comply with various covenants in each indenture governing our outstanding notes and the credit agreements governing our senior secured credit facilities which are material to our financial condition and financial statements.

Adjusted EBITDA has limitations as an analytical tool, and should not be considered either in isolation or as a substitute for net income or other data prepared in accordance with GAAP or for analyzing our results or cash flows from operating activities, as reported under GAAP. Some of these limitations include:

 

   

Adjusted EBITDA does not reflect changes in, or cash requirements for, our working capital needs;

 

   

Adjusted EBITDA does not reflect our interest expense, or the cash requirements necessary to service interest or principal payments, on our debt;

 

   

Adjusted EBITDA does not reflect our income tax expense or the cash requirements to pay our taxes;

 

   

Adjusted EBITDA does not reflect historical cash expenditures or future requirements for capital expenditures or contractual commitments;

 

   

Although depreciation and amortization are non-cash charges, the assets being depreciated and amortized will likely have to be replaced in the future, and Adjusted EBITDA measures do not reflect any cash requirements for such replacements; and

 

   

Other companies in our industry may calculate Adjusted EBITDA differently such that our calculation may not be directly comparable.

Adjusted EBITDA for the three months ended October 27, 2012 decreased $4.1 million, or 7.0%, to $54.5 million. The decline in Adjusted EBITDA was primarily the result of decreased gross margin.

Adjusted EBITDA for the nine months ended October 27, 2012 decreased $6.9 million, or 4.3%, to $155.1 million from $162.0 million during the nine months ended October 29, 2011. The decrease in Adjusted EBITDA was primarily the result of certain investments aimed at improving the execution of our buying model and our customers’ shopping experience which were made during the third and fourth quarters of Fiscal 2011 that have not annualized and a decrease in our gross margin rate of 50 basis points, partially offset by our an overall net sales increase of 7.4% during the nine months ended October 27, 2012.

 

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The following table shows our calculation of Adjusted EBITDA for the nine and three months ended October 27, 2012 compared with the nine and three months ended October 29, 2011:

 

     (in thousands)  
     Nine Months Ended     Three Months Ended  
     October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Reconciliation of Net Loss to Adjusted EBITDA:

        

Net Loss

   $ (42,644   $ (64,096   $ (7,447   $ (10,277

Interest Expense

     84,529        97,976        27,421        34,812   

Income Tax Benefit

     (31,964     (47,712     (14,204     (13,395

Depreciation and Amortization

     120,748        113,174        40,844        39,188   

Impairment Charges – Long-Lived Assets

     1,100        34        1,021        —     

Interest Income

     (130     (37     (84     (37

Non Cash Straight-Line Rent Expense (a)

     6,266        7,915        2,457        3,080   

Advisory Fees (b)

     3,086        3,196        1,000        1,039   

Stock Compensation Expense (c)

     1,968        4,917        565        4,017   

Amortization of Purchased Lease Rights (d)

     748        670        264        232   

Severance and Restructuring (e)

     2,441        5,621        635        431   

Franchise Taxes (f)

     946        1,232        300        300   

Advertising Expense Related to Barter (g)

     2,598        3,162        1,273        1,558   

Loss on Disposal of Fixed Assets (h)

     1,070        1,022        275        577   

Refinancing Fees (i)

     3,225        (473     131        28   

Loss on Extinguishment of Debt (j)

     3,413        37,764          —            —     

Litigation Reserves (k)

     (2,325     —          —            —     

Transfer Tax (l)

       —          (20       —          —     

Insurance Reserve (m)

       —          (2,349       —          (3,024
  

 

 

   

 

 

   

 

 

   

 

 

 

Adjusted EBITDA

   $ 155,075      $ 161,996      $ 54,451      $ 58,529   
  

 

 

   

 

 

   

 

 

   

 

 

 

Reconciliation of Adjusted EBITDA to Net Cash Provided by (Used In) Operating Activities:

        

Adjusted EBITDA

   $ 155,075      $ 161,996      $ 54,451      $ 58,529   

Interest Expense

     (84,529     (97,976     (27,421     (34,812

Changes in Operating Assets and Liabilities

     229,459        132,313        28,059        (50,331

Other Items, Net

     13,191        28,849        7,513        10,943   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Provided by (Used in) Operating Activities

   $ 313,196      $ 225,182      $ 62,602        (15,671
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

   $ (129,277   $ (121,762   $ (67,475   $ (46,170
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash (Used in) Provided by Financing Activities

   $ (189,414   $ (87,791   $ 3,372      $ 75,876   
  

 

 

   

 

 

   

 

 

   

 

 

 

Beginning in Fiscal 2012, we changed the components comprising Adjusted EBITDA such that specific charges associated with our insurance reserves are no longer added back to consolidated net (loss) income when calculating Adjusted EBITDA. These changes were made prospectively. For the three and nine month periods ended October 29, 2011, this change would have resulted in an increase in Adjusted EBITDA of $3.0 million and $2.3 million, respectively.

 

(a) Represents the difference between the actual base rent and rent expense calculated in accordance with GAAP (on a straight line basis), in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(b) Represents the annual advisory fee of Bain Capital expensed during the fiscal periods, in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(c) Represents expenses recorded under ASC Topic No. 718 “Stock Compensation” during the fiscal periods, in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(d) Represents amortization of purchased lease rights which are recorded in rent expense within our selling and administrative line item, in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(e) Represents a severance and restructuring charge resulting from a reorganization of certain positions within our stores and corporate locations (refer to Note 4 to our Condensed Consolidated Financial Statements entitled “Restructuring and Separation Costs” for further discussion), in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(f) Represents franchise taxes paid based on our equity, as approved by the administrative agents for the Term Loan Facility and ABL Line of Credit.

 

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(g) Represents non-cash advertising expense based on the usage of barter advertising credits obtained as part of a non-cash exchange of inventory, as approved by the administrative agents for the Term Loan Facility and ABL Line of Credit.
(h) Represents the gross non-cash loss recorded on the disposal of certain assets in the ordinary course of business, in accordance with the credit agreements governing the Term Loan Facility and ABL Line of Credit.
(i) Represents refinancing fees that reduce Adjusted EBITDA per the administrative agents for the Term Loan Facility and the ABL Line of Credit.
(j) Represents charges incurred in accordance with Topic No. 470, whereby we incurred a loss on the settlement of the old debt instruments as approved by the administrative agents for the Term Loan Facility and the ABL Line of Credit.
(k) Represents reduction in legal assessment in conjunction with legal settlements as approved by the administrative agents for the Term Loan Facility and ABL Line of Credit.
(l) Represents one-time transfer taxes incurred on certain leased properties as approved by the administrative agents for the Term Loan Facility and the ABL Line of Credit.
(m) Represents non-cash change in reserves based on estimated general liability, workers’ compensation and health insurance claims as approved by the administrative agents for the Term Loan Facility and ABL Line of Credit.

Cash Flow for the Nine Months Ended October 27, 2012 Compared with the Nine Months Ended October 29, 2011

We had a $5.5 million decrease in cash flow for the nine months ended October 27, 2012 compared with generating $15.6 million of cash flow for the nine months ended October 29, 2011. Net cash provided by operating activities amounted to $313.2 million for the nine months ended October 27, 2012. For the nine months ended October 29, 2011, net cash provided by operating activities amounted to $225.2 million. The increase in net cash provided by operating activities was primarily the result of changes in the Company’s working capital. The biggest driver of the increase relates to cash flow from changes in merchandise inventories. Cash flow from the change in merchandise inventories for the nine months ended October 27, 2012 increased $138.8 million as a result of our ongoing initiative to reduce inventory levels and continue to flow fresh merchandise to the stores more frequently. This increase was partially offset by a decrease in the cash flow from the change in accounts payable for the nine months ended October 27, 2012 of $57.9 million compared with the nine months ended October 29, 2011. This decrease was primarily driven by a smaller increase in accounts payable from January 28, 2012 to October 27, 2012 compared with the accounts payable increase from January 30, 2011 to October 29, 2011 related to our working capital management strategy at the end of each fiscal year. Based on the working capital management strategy, we accelerated certain payments at the end of each fiscal year that typically would not have been made until the first quarter of the next fiscal year, which lowered our accounts payable balances at the end of each fiscal year. As our accounts payable balances return to historical levels this creates additional cash flow. The decrease in accounts payable that generates this item was primarily driven by the difference in the accelerated payments during January of Fiscal 2011 of $152.9 million compared with the payments made in January of Fiscal 2010 of $237.7 million and the timing of payments.

Net cash used in investing activities increased to $129.3 million for the nine months ended October 27, 2012 from $121.8 million for the nine months ended October 29, 2011. This increase was primarily the result of a $12.9 million increase in cash paid for property and equipment during the nine months ended October 27, 2012 as compared with the nine months ended October 29, 2011. This increase was partially offset by a $4.6 million decrease in restricted cash and cash equivalents during the nine months ended October 29, 2011. Restricted cash remained constant at $34.8 million during the nine months ended October 27, 2012.

Cash flow used in financing activities increased $101.6 million during the nine months ended October 27, 2012 compared with the nine months ended October 29, 2011. This was primarily driven by repayments on our ABL Line of Credit, net of borrowings, of $168.3 million during the nine months ended October 27, 2012 compared with repayments net of borrowings of $10.5 million during the nine months ended October 29, 2011. This increase was partially offset by the impact of the February 2011 debt refinancing, inclusive of a $297.9 million dividend payment, which resulted in a net cash outflow of $77.4 million which didn’t repeat during the nine months ended October 27, 2012.

Cash flow and working capital levels assist management in measuring our ability to meet our cash requirements. Working capital measures our current financial position. Working capital is defined as current assets (exclusive of restricted cash) less current liabilities. Working capital at October 27, 2012 was $77.2 million compared with $337.9 million at January 28, 2012. The decrease in working capital was primarily the result of increased accounts payable as of October 27, 2012 compared with January 28, 2012 as a result of our working capital management strategy at the end of Fiscal 2011.

Operational Growth

During the nine months ended October 27, 2012, we opened 21 BCF stores, and closed one store. As of October 27, 2012, we operated stores under the names “Burlington Coat Factory Warehouse” (479 stores), “Cohoes Fashions” (two stores), “Super Baby Depot” (two stores) and 14 shoe stores under the names “MJM Designer Shoes” (13 stores) and “Burlington Shoes” (one store). We estimate that we will spend between $130 and $140 million, net of approximately $30 million of landlord allowances, in capital expenditures during Fiscal 2012, including approximately $90 million, net of the previously mentioned landlord allowances for store expenditures, and approximately $35 million for information technology. We expect to use the remaining capital to support continued distribution facility enhancements and other initiatives. For the nine months ended October 27, 2012, capital expenditures, net of landlord allowances, amounted to $110.4 million.

 

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We monitor the availability of desirable locations for our stores from such sources as presentations by brokers, real estate developers and existing landlords, evaluating dispositions by other retail chains and bankruptcy auctions. Most of our stores are located in malls, strip shopping centers, regional power centers or are freestanding. We also lease existing space and are opening some built-to-suit locations. For most of our new leases, our lease model provides for at least a ten year initial term with a number of five year options thereafter. Typically, our lease strategy includes landlord allowances for leasehold improvements. We believe our lease model makes us more competitive with other retailers for desirable locations. We may seek to acquire a number of such locations either through transactions to acquire individual locations or transactions that involve the acquisition of multiple locations simultaneously.

Additionally, we may consider strategic acquisitions. If we undertake such transactions, we may seek additional financing to fund acquisitions and carrying charges (i.e., the cost of rental, maintenance, tax and other obligations associated with such properties from the time of commitment to acquire to the time that such locations can be readied for opening as our stores) related to the newly acquired stores. There can be no assurance, however, that any additional locations will become available from other retailers or that, if available, we will undertake to bid or be successful in bidding for such locations. Furthermore, to the extent that we decide to purchase additional store locations, it may be necessary to finance such acquisitions with additional long term borrowings.

From time to time we make available for sale certain assets based on current market conditions. These assets are recorded in the line item “Assets Held for Sale” in our Condensed Consolidated Balance Sheets. Based on prevailing market conditions, we may determine that it is no longer advantageous to continue marketing certain assets and will reclassify those assets out of the line item “Assets Held for Sale” and into the respective asset category based on the lesser of their carrying value or fair value less cost to sell.

Dividends

Payment of dividends is prohibited under our credit agreements except in limited circumstances. In connection with our February 2011 financing transactions, we declared a cash dividend of approximately $300.0 million in the aggregate to the equity holders of Parent, on a pro rata basis. Of the $300.0 million in dividends that were declared, $297.9 million was paid during the nine months ended October 29, 2011 and of the remaining $2.1 million, $1.7 million was paid during the nine months ended October 27, 2012. The remaining $0.4 million of dividend equivalent payments were forfeited and reverted back to the Company as further discussed in Note 2 to the Condensed Consolidated Financial Statements entitled “Stockholder’s Equity.”

Long Term Borrowings, Lines of Credit and Capital Lease Obligations

Holdings and each of our current and future subsidiaries, with the exception of one immaterial non-guarantor subsidiary, have fully, jointly, severally, unconditionally, and irrevocably guaranteed BCFWC’s obligations pursuant to the $600 million ABL Line of Credit, $1,000 million Term Loan Facility and the $450 million Notes due in 2019. As of October 27, 2012, we were in compliance with all of our debt covenants.

$1 Billion Senior Secured Term Loan Facility

As discussed previously under the caption “Debt Refinancing,” on May 16, 2012, we entered into the Amendment to the Term Loan Credit Agreement, which, among other things, reduces the applicable margin on the interest rates applicable to our Term Loan Facility by 50 basis points. As a result of this transaction, mandatory quarterly payments of $2.4 million were payable as of the last day of each quarter beginning with the quarter ended July 28, 2012. We elected to make a prepayment of $9.5 million in May 2012, which offsets the mandatory quarterly payments through August 3, 2013.

This transaction resulted in a non-cash loss on the extinguishment of debt of $3.4 million in the line item “Loss on the Extinguishment of Debt” in our Condensed Consolidated Statements of Operations and Comprehensive Loss during the second quarter of Fiscal 2012. In addition, fees of $3.1 million were recorded in the line item “Selling and Administrative Expense” in our Condensed Consolidated Statements of Operations and Comprehensive Loss during the second quarter of Fiscal 2012.

ABL Line of Credit

During the three month periods ended October 27, 2012 and October 29, 2011 we borrowed $3.5 million and $79.1 million, net of repayments, on our ABL Line of Credit. During the nine month periods ended October 27, 2012 and October 29, 2011, we repaid $168.3 million and $10.5 million, net of borrowings, on our ABL Line of Credit. As of October 27, 2012 and October 29, 2011, we had $21.7 million and $158.1 million outstanding under our ABL Line of Credit and unused availability of $542.3 million and $401.3 million, respectively.

Off-Balance Sheet Arrangements

Other than operating leases consummated in the normal course of business and letters of credit, as more fully described below, we are not involved in any off-balance sheet arrangements that have or are reasonably likely to have a material current or future impact on our financial condition, changes in financial condition, revenues or expenses, results of operations, liquidity, capital expenditures, or capital resources.

 

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Contingencies and Contractual Obligations

Legal

We establish reserves for the settlement amounts, as well as reserves relating to legal claims, in connection with litigation to which we are party from time to time in the ordinary course of business. The aggregate amount of such reserves was $1.0 million, $6.1 million and $3.9 million as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively. We believe that potential liabilities in excess of those recorded will not have a material effect on our Condensed Consolidated Financial Statements. However, there can be no assurances to this effect.

There have been no significant changes to our contractual obligations and commercial commitments table as disclosed in our Fiscal 2011 10-K, except as follows:

Lease Agreements

We enter into lease agreements during the ordinary course of business in order to secure favorable store locations. As of October 27, 2012, we were committed to four new lease agreements (inclusive of one relocation) for locations at which stores are expected to be opened during the remainder of Fiscal 2012. Inclusive of these new leases, the Company’s minimum lease payments for all operating leases are expected to be $64.6 million, $225.1 million, $211.1 million, $187.8 million and $799.8 million for the remainder of the fiscal year ended February 2, 2013, and the fiscal years ended February 1, 2014, January 31, 2015, January 30, 2016 and January 28, 2017 and all subsequent years thereafter, respectively.

Letters of Credit

We had letters of credit arrangements with various banks in the aggregate amount of $36.0 million and $40.5 million as of October 27, 2012 and October 29, 2011, respectively. Based on the terms of the credit agreement related to the ABL Line of Credit, we had the ability to enter into letters of credit up to $542.3 million and $401.3 million as of October 27, 2012 and October 29, 2011, respectively. Among these arrangements as of October 27, 2012 and October 29, 2011, we had letters of credit in the amount of $26.2 million and $30.7 million, respectively, guaranteeing performance under various insurance contracts and utility agreements. Additionally, we had outstanding letters of credit agreements in the amount of $9.8 million at both October 27, 2012 and October 29, 2011, related to certain merchandising agreements.

We had irrevocable letters of credit in the amount of $35.3 million as of January 28, 2012. Based on the terms of the credit agreement relating to the ABL Line of Credit, we had the ability to enter into letters of credit up to $242.6 million as of January 28, 2012. Letters of credit outstanding as of January 28, 2012 amounted to $27.7 million, guaranteeing performance under various lease agreements, insurance contracts, and utility agreements. We also had outstanding letters of credit arrangements in the aggregate amount of $7.6 million at January 28, 2012 related to certain merchandising agreements.

Safe Harbor Statement

This report contains forward-looking statements that are based on current expectations, estimates, forecasts and projections about us, the industry in which we operate and other matters, as well as management’s beliefs and assumptions and other statements regarding matters that are not historical facts. For example, when we use words such as “projects,” “expects,” “anticipates,” “intends,” “plans,” “believes,” “seeks,” “estimates,” “should,” “would,” “could,” “will,” “opportunity,” “potential” or “may,” variations of such words or other words that convey uncertainty of future events or outcomes, we are making forward looking statements within the meaning of Section 27A of the Securities Act of 1933 (Securities Act) and Section 21E of the Securities Exchange Act of 1934 (Exchange Act). Our forward-looking statements are subject to risks and uncertainties. Such statements include but are not limited to, proposed store openings and closings, proposed capital expenditures, projected financing requirements, proposed developmental projects, projected sales and earnings, our ability to maintain selling margins, and the effect of the adoption of recent accounting pronouncements on our consolidated financial position, results of operations and cash flows. Actual events or results may differ materially from the results anticipated in these forward-looking statements as a result of a variety of factors. While it is impossible to identify all such factors, factors that could cause actual results to differ materially from those estimated by us include: competition in the retail industry, seasonality of our business, adverse weather conditions, changes in consumer preferences and consumer spending patterns, import risks, inflation, general economic conditions, our ability to implement our strategy, our substantial level of indebtedness and related debt-service obligations, restrictions imposed by covenants in our debt agreements, availability of adequate financing, our dependence on vendors for our merchandise, events affecting the delivery of merchandise to our stores, existence of adverse litigation, availability of desirable locations on suitable terms, and other risks discussed from time to time in our filings with the Securities and Exchange Commission (SEC).

 

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Many of these factors are beyond our ability to predict or control. In addition, as a result of these and other factors, our past financial performance should not be relied on as an indication of future performance. The cautionary statements referred to in this section also should be considered in connection with any subsequent written or oral forward-looking statements that may be issued by us or persons acting on our behalf. We undertake no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise, except as required by law. In light of these risks and uncertainties, the forward-looking events and circumstances discussed in this report might not occur. Furthermore, we cannot guarantee future results, events, levels of activity, performance or achievements.

Recent Accounting Pronouncements

In July 2012, the FASB issued Accounting Standards Update No. 2012-02, “Intangibles — Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment, (ASU 2012-02). In accordance with ASU 2012-02, an entity has the option to first assess qualitative factors to determine whether it is more likely than not that the fair value of an indefinite-lived intangible asset is less than its carrying amount. If the entity determines that it is more likely than not that the fair value of the indefinite-lived intangible asset is less than the carrying value, the entity will be required to perform the quantitative impairment test. ASU 2012-02 is effective for annual and interim impairment tests performed for fiscal years beginning after September 15, 2012. However, early adoption is permitted. The Company has elected not to early adopt in the current fiscal year and does not expect it to have a material impact on the Company’s financial position or results of operations.

There were no other new accounting standards that had a material impact on our Condensed Consolidated Financial Statements during the period ended October 27, 2012 and there were no new accounting standards or pronouncements that were issued but not yet effective as of October 27, 2012 that we expect to have a material impact upon becoming effective.

Item 3. Quantitative and Qualitative Disclosures About Market Risk

We are exposed to certain market risks as part of our ongoing business operations. Primary exposures include changes in interest rates, as borrowings under our ABL Line of Credit and Term Loan Facility bear interest at floating rates based on LIBOR or the base rate, in each case plus an applicable borrowing margin and investing activities. The Term Loan Facility interest is also dependent on the LIBOR, prime rate, and the federal funds rate as further discussed in Note 3 to our Condensed Consolidated Financial Statements entitled “Long Term Debt.”

We will manage our interest rate risk by balancing the amount of fixed-rate and floating-rate debt and through the use of interest rate cap agreements. For fixed-rate debt, interest rate changes do not affect earnings or cash flows. Conversely, for floating-rate debt, interest rate changes generally impact our earnings and cash flows, assuming other factors are held constant.

At October 27, 2012, we had $473.5 million principal amount of fixed-rate debt and $954.6 million of floating-rate debt. Based on $954.6 million outstanding as floating-rate debt, an immediate increase of one percentage point, excluding the interest rate caps, would cause an increase to cash interest expense of approximately $9.5 million per year, resulting in $9.5 million less in our pre-tax earnings. This sensitivity analysis assumes our mix of financial instruments and all other variables will remain constant in future periods. These assumptions are made in order to facilitate the analysis and are not necessarily indicative of our future intentions.

If a one percentage point increase in interest rates were to occur over the next four quarters excluding the interest rate cap, such an increase would result in the following additional interest expenses (assuming current borrowing level remains constant):

 

     (in thousands)  

Floating Rate Debt

   Principal
Outstanding
at October 27, 2012
     Additional
Interest
Expense
Q4 2012
     Additional
Interest
Expense
Q1 2013
     Additional
Interest
Expense
Q2 2013
     Additional
Interest
Expense
Q3 2013
 

ABL Line of Credit

     21,700         54         54         54         54   

Term Loan

     932,907         2,334         2,335         2,330         2,325   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 
   $ 954,607       $ 2,388       $ 2,389       $ 2,384       $ 2,379   

We have two interest rate cap agreements for a maximum principal amount of $900.0 million which limit our interest rate exposure to 7% on our first $900.0 million of borrowings under our variable rate debt obligations. If interest rates were to increase above the 7% cap rates in effect as of October 27, 2012, for a full fiscal year, then our maximum interest rate exposure would be $13.8 million assuming constant borrowing levels of $900.0 million. Currently, we have unlimited interest rate risk related to our variable rate debt in excess of $900 million. As of October 27, 2012, the borrowing rates related to our Term Loan Facility and our ABL Line of Credit were 5.5% and 4.0%.

Our ability to satisfy our interest payment obligations on our outstanding debt will depend largely on our future performance, which, in turn, is in part subject to prevailing economic conditions and to financial, business and other factors beyond our control. If

 

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we do not have sufficient cash flow to service our interest payment obligations on our outstanding indebtedness and if we cannot borrow or obtain equity financing to satisfy those obligations, our business and results of operations will be materially adversely affected. We cannot be assured that any replacement borrowing or equity financing could be successfully completed.

A change in interest rates generally does not have an impact upon our future earnings and cash flow for fixed-rate debt instruments. As fixed-rate debt matures, however, and if additional debt is acquired to fund the debt repayment, future earnings and cash flow may be affected by changes in interest rates. This effect would be realized in the periods subsequent to the periods when the debt matures.

Item 4. Controls and Procedures.

Our management team, under the supervision and with the participation of our principal executive officer and our principal financial officer, evaluated the effectiveness of the design and operation of our disclosure controls and procedures as such term is defined under Rule 13a-15(e) promulgated under the Securities Exchange Act of 1934, as amended (Exchange Act), as of the last day of the fiscal period covered by this report, October 27, 2012. The term disclosure controls and procedures means our controls and other procedures that are designed to ensure that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported, within the time periods specified in the SEC’s rules and forms. Disclosure controls and procedures include, without limitation, controls and procedures designed to ensure that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is accumulated and communicated to management, including our principal executive and principal financial officer, or persons performing similar functions, as appropriate to allow timely decisions regarding required disclosure. Based on this evaluation, our principal executive officer and our principal financial officer concluded that our disclosure controls and procedures were effective as of October 27, 2012.

During the three months ended October 27, 2012, there were no changes in our internal control over financial reporting that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

 

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PART II - OTHER INFORMATION

Item 1. Legal Proceedings.

We are party to various litigation matters, in most cases involving ordinary and routine claims incidental to our business. We cannot estimate with certainty our ultimate legal and financial liability with respect to such pending litigation matters. However, we believe, based on our examination of such matters, that our ultimate liability will not have a material effect on our financial position, results of operations or cash flows.

Item 1A. Risk Factors.

There have been no material changes in our risk factors from those disclosed in Part I, Item 1A of our Fiscal 2011 10-K.

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds.

None.

Item 3. Defaults Upon Senior Securities.

None.

Item 4. Mine Safety Disclosures.

Not applicable.

Item 5. Other Information.

None.

 

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Item 6. Exhibits.

 

Exhibit

  

Description

  10.1    Amendment No. 1 to Employment Agreement made as of October 23, 2012 by Burlington Coat Factory Warehouse Corporation, Burlington Coat Factory Holdings, Inc. and Thomas Kingsbury.
  10.2    Amendment No. 2 to Employment Agreement made as of October 18, 2012 by Burlington Coat Factory Warehouse Corporation and Joyce Manning Magrini.
  31.1   

Certification of Principal Executive Officer required by Rule 13a-14(a) or Rule 15d-14(a) of the Securities

Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

  31.2   

Certification of Principal Financial Officer required by Rule 13a-14(a) or Rule 15d-14(a) of the Securities

Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

  32.1    Certification of Principal Executive Officer pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
  32.2    Certification of Principal Financial Officer pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
101.INS    XBRL Instance Document
101.SCH    XBRL Taxonomy Extension Schema
101.CAL    XBRL Taxonomy Extension Calculation Linkbase
101.DEF    XBRL Taxonomy Extension Definition Linkbase
101.LAB    XBRL Taxonomy Extension Label Linkbase
101.PRE    XBRL Taxonomy Extension Presentation Linkbase

 

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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

BURLINGTON COAT FACTORY

INVESTMENTS HOLDINGS, INC.

/s/    THOMAS A. KINGSBURY

Thomas A. Kingsbury
President & Chief Executive Officer

/s/    TODD WEYHRICH

Todd Weyhrich

Executive Vice President & Chief Financial Officer

(Principal Financial Officer)

Date: December 11, 2012

 

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INDEX TO EXHIBITS

 

Exhibit

  

Description

  10.1    Amendment No. 1 to Employment Agreement made as of October 23, 2012 by Burlington Coat Factory Warehouse Corporation, Burlington Coat Factory Holdings, Inc. and Thomas Kingsbury.
  10.2    Amendment No. 2 to Employment Agreement made as of October 18, 2012 by Burlington Coat Factory Warehouse Corporation and Joyce Manning Magrini.
  31.1    Certification of Principal Executive Officer required by Rule 13a-14(a) or Rule 15d-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
  31.2    Certification of Principal Financial Officer required by Rule 13a-14(a) or Rule 15d-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
  32.1    Certification of Principal Executive Officer pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
  32.2    Certification of Principal Financial Officer pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
101.INS    XBRL Instance Document
101.SCH    XBRL Taxonomy Extension Schema
101.CAL    XBRL Taxonomy Extension Calculation Linkbase
101.DEF    XBRL Taxonomy Extension Definition Linkbase
101.LAB    XBRL Taxonomy Extension Label Linkbase
101.PRE    XBRL Taxonomy Extension Presentation Linkbase
EX-10.1 2 d398893dex101.htm EX-10.1 EX-10.1

Exhibit 10.1

AMENDMENT NO. 1

TO

EMPLOYMENT AGREEMENT

This AMENDMENT NO. 1 TO EMPLOYMENT AGREEMENT (this “Amendment”) is made as of October 23, 2012 by Burlington Coat Factory Warehouse Corporation, a Delaware corporation (the “Company”), Burlington Coat Factory Holdings, Inc., a Delaware corporation (“Parent”) and Thomas Kingsbury (“Executive”).

W I T N E S SE T H.

WHEREAS, the parties hereto entered into that certain Employment Agreement, dated as of December 2, 2008 (the “Employment Agreement”) (capitalized terms used and not otherwise defined herein shall have the meanings given to such terms in the Employment Agreement); and

WHEREAS, the parties hereto desire to amend the Employment Agreement as set forth herein.

NOW, THEREFORE, in consideration of the mutual covenants contained herein and other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties hereto agree as follows:

1. Section 4(c) of the Employment Agreement is hereby amended by deleting the entire section thereof and replacing it with the following:

“(c) Executive agrees that: (i) Executive shall be entitled to the payments and services provided for in Sections 4(b)(i)(3), 4(b)(i)(4), and 4(b)(i)(5), if any, if and only if Executive has executed and delivered the Release (and no longer subject to revocation, if applicable) attached as Exhibit A within sixty days following the date of termination and Executive has not breached as of the date of termination of the Employment Period the provisions of Sections 5, 6 and 7 hereof and does not breach such sections or such covenants at any time during the period for which such payments or services are to be made; and (ii) the Company’s obligation to make such payments and services will terminate upon the occurrence of any such breach during such period. Executive shall not have any obligation to mitigate the amounts payable to him pursuant to Sections 4(b)(i)(3), 4(b)(i)(4), and 4(b)(i)(5) by seeking or accepting alternative employment; provided, that Executive’s rights to receive the benefits provided for in Section 4(b)(i)(5) shall cease at such time as he is eligible to be covered under the hospital, health, disability, medical or life insurance benefits, as apply, of any subsequent employer.”


2. Section 4(d) of the Employment Agreement is hereby amended by deleting the entire section thereof and replacing it with the following:

“(d) Except as stated above, any payments pursuant to Section 4(b) shall be paid by the Company in regular installments in accordance with the Company’s general payroll practices, and following such payments the Company shall have no further obligation to Executive pursuant to this Section 4 except as provided by law; provided that to the extent that the payment of any amount constitutes “nonqualified deferred compensation” for purposes of Section 409A of the Code (as defined in subsection (g) hereof), any such payment scheduled to occur during the first sixty (60) days following the termination of employment shall not be paid until the first regularly scheduled pay period following the sixtieth (60th) day following such termination and shall include payment of any amount that was otherwise scheduled to be paid prior thereto. All amounts payable to Executive as compensation hereunder shall be subject to all customary withholding, payroll and other taxes. The Company shall be entitled to deduct or withhold from any amounts payable to Executive any federal, state, local or foreign withholding taxes, excise tax, or employment taxes imposed with respect to Executive’s compensation or other payments or Executive’s ownership interest in the Company (including, without limitation, wages, bonuses, dividends, the receipt or exercise of equity options and/or the receipt or vesting of restricted equity).”

3. Section 24 of the Employment Agreement is hereby added at the end thereof:

“24. Section 409A. The intent of the parties is that payments and benefits under this Agreement comply with Section 409A of the Code and, accordingly, to the maximum extent permitted, this Agreement shall be interpreted to be in compliance therewith. In no event whatsoever shall the Company be liable for any additional tax, interest or penalty that may be imposed on the Executive by Section 409A of the Code or damages for failing to comply with Section 409A of the Code. To the extent that reimbursements or other in-kind benefits under this Agreement constitute “nonqualified deferred compensation” for purposes of Code Section 409A, (A) all expenses or other reimbursements hereunder shall be made on or prior to the last day of the taxable year following the taxable year in which such expenses were incurred by the Executive, (B) any right to reimbursement or in-kind benefits shall not be subject to liquidation or exchange for another benefit, and (C) no such reimbursement, expenses eligible for reimbursement, or in-kind benefits provided in any taxable year shall in any way affect the expenses eligible for reimbursement, or in-kind benefits to be provided, in any other taxable year. For purposes of Code Section 409A, the Executive’s right to receive any installment payments pursuant to this Agreement shall be treated as a right to receive a series of separate and distinct payments. Whenever a payment under this Agreement specifies a payment period with reference to a number of days, the actual date of payment within the specified period shall be within the sole discretion of the Company. Notwithstanding any other provision of this Agreement to the contrary, in no event shall any payment under this Agreement that constitutes “nonqualified deferred compensation” for purposes of Code Section 409A be subject to offset by any other amount unless otherwise permitted by Code Section 409A.”

 

2


4. Except as specifically set forth herein, the Agreement and all of its terms and conditions remain in full force and effect, and the Agreement is hereby ratified and confirmed in all respects, except that on or after the date of this Amendment all references in the Agreement to “this Agreement,” “hereto,” “hereof,” “hereunder,” or words of like import shall mean the Agreement as amended by this Amendment.

5. This Amendment may be executed in any number of counterparts, each of which shall be deemed an original and such counterpart together shall constitute one and the same instrument.

6. This Amendment, including the validity, interpretation, construction and performance of this Amendment, shall be governed by and construed in accordance with the laws of the State of New York applicable to agreements made and to be performed in such State, without regard to such State’s conflicts of law principles.

7. This Amendment shall be binding upon and inure to the benefit of and be enforceable by the respective successors and assigns of the parties hereto. The Agreement, as amended by this Amendment, embodies the entire agreement and understanding between the parties hereto and supersedes all prior agreements and understandings relating to the subject matter hereof.

[remainder of page intentionally left blank; signature page follows]

 

3


SIGNATURE PAGE TO AMENDMENT NO. 1 TO EMPLOYMENT AGREEMENT

IN WITNESS WHEREOF, the parties hereto have executed this Amendment as of the date first written above.

 

BURLINGTON COAT FACTORY WAREHOUSE CORPORATION
By:  

/s/ Paul Tang

Name:   Paul Tang
Title:   Executive Vice President
BURLINGTON COAT FACTORY HOLDINGS, INC.
By:  

/s/ Paul Tang

Name:   Paul Tang
Title:   Executive Vice President

/s/ Thomas Kingsbury

Thomas Kingsbury

 

4

EX-10.2 3 d398893dex102.htm EX-10.2 EX-10.2

Exhibit 10.2

AMENDMENT NO. 2

TO

EMPLOYMENT AGREEMENT

This AMENDMENT NO. 2 TO EMPLOYMENT AGREEMENT (this “Amendment”) is made as of October 18, 2012, by Burlington Coat Factory Warehouse Corporation, a Delaware corporation (the “Company”) and Joyce Manning Magrini (“Executive”).

W I T N E S S E T H.

WHEREAS, the parties hereto entered into that certain Employment Agreement, dated as of October 13, 2009 (the “Employment Agreement”) (capitalized terms used and not otherwise defined herein shall have the meanings given to such terms in the Employment Agreement); and

WHEREAS, the parties hereto desire to amend the Employment Agreement as set forth herein.

NOW, THEREFORE, in consideration of the mutual covenants contained herein and other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties hereto agree as follows:

1. Section 4(c) of the Employment Agreement is hereby amended by deleting the entire section thereof and replacing it with the following:

“(c) Executive agrees that: (i) Executive shall be entitled to the payments and services provided for in Sections 4(b)(i)(3), 4(b)(i)(4), and 4(b)(i)(5), if any, if and only if Executive has executed and delivered the Release (and no longer subject to revocation, if applicable) attached as Exhibit A within sixty days following the date of termination and Executive has not breached as of the date of termination of the Employment Period the provisions of Sections 5, 6 and 7 hereof and does not breach such sections or such covenants at any time during the period for which such payments or services are to be made; and (ii) the Company’s obligation to make such payments and services will terminate upon the occurrence of any such breach during such period.”

2. Section 4(d) of the Employment Agreement is hereby amended by deleting the entire section thereof and replacing it with the following:

“(d) Except as stated above, any payments pursuant to Section 4(b) shall be paid by the Company in regular installments in accordance with the Company’s general payroll practices, and following such payments the Company shall have no further obligation to Executive pursuant to this Section 4 except as provided by law; provided that to the extent that the payment of any amount constitutes “nonqualified deferred compensation” for purposes of Section 409A of the Code (as defined in subsection (g) hereof), any such payment scheduled to occur during the first sixty (60) days following the termination of employment shall not be paid


until the first regularly scheduled pay period following the sixtieth (60th) day following such termination and shall include payment of any amount that was otherwise scheduled to be paid prior thereto. All amounts payable to Executive as compensation hereunder shall be subject to all customary withholding, payroll and other taxes. The Company shall be entitled to deduct or withhold from any amounts payable to Executive any federal, state, local or foreign withholding taxes, excise tax, or employment taxes imposed with respect to Executive’s compensation or other payments or Executive’s ownership interest in the Company (including, without limitation, wages, bonuses, dividends, the receipt or exercise of equity options and/or the receipt or vesting of restricted equity).”

3. Section 21 is hereby added at the end thereof:

“21. Section 409A. The intent of the parties is that payments and benefits under this Agreement comply with Section 409A of the Code and, accordingly, to the maximum extent permitted, this Agreement shall be interpreted to be in compliance therewith. In no event whatsoever shall the Company be liable for any additional tax, interest or penalty that may be imposed on the Executive by Section 409A of the Code or damages for failing to comply with Section 409A of the Code. To the extent that reimbursements or other in-kind benefits under this Agreement constitute “nonqualified deferred compensation” for purposes of Code Section 409A, (A) all expenses or other reimbursements hereunder shall be made on or prior to the last day of the taxable year following the taxable year in which such expenses were incurred by the Executive, (B) any right to reimbursement or in-kind benefits shall not be subject to liquidation or exchange for another benefit, and (C) no such reimbursement, expenses eligible for reimbursement, or in-kind benefits provided in any taxable year shall in any way affect the expenses eligible for reimbursement, or in-kind benefits to be provided, in any other taxable year. For purposes of Code Section 409A, the Executive’s right to receive any installment payments pursuant to this Agreement shall be treated as a right to receive a series of separate and distinct payments. Whenever a payment under this Agreement specifies a payment period with reference to a number of days, the actual date of payment within the specified period shall be within the sole discretion of the Company. Notwithstanding any other provision of this Agreement to the contrary, in no event shall any payment under this Agreement that constitutes “nonqualified deferred compensation” for purposes of Code Section 409A be subject to offset by any other amount unless otherwise permitted by Code Section 409A.”

4. Except as specifically set forth herein, the Agreement and all of its terms and conditions remain in full force and effect, and the Agreement is hereby ratified and confirmed in all respects, except that on or after the date of this Amendment all references in the Agreement to “this Agreement,” “hereto,” “hereof,” “hereunder,” or words of like import shall mean the Agreement as amended by this Amendment.

 

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5. This Amendment may be executed in any number of counterparts, each of which shall be deemed an original and such counterpart together shall constitute one and the same instrument.

6. This Amendment, including the validity, interpretation, construction and performance of this Amendment, shall be governed by and construed in accordance with the laws of the State of New York applicable to agreements made and to be performed in such State, without regard to such State’s conflicts of law principles.

7. This Amendment shall be binding upon and inure to the benefit of and be enforceable by the respective successors and assigns of the parties hereto. The Agreement, as amended by this Amendment, embodies the entire agreement and understanding between the parties hereto and supersedes all prior agreements and understandings relating to the subject matter hereof.

[remainder of page intentionally left blank; signature page follows]

 

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SIGNATURE PAGE TO AMENDMENT NO. 2 TO EMPLOYMENT AGREEMENT

IN WITNESS WHEREOF, the parties hereto have executed this Amendment as of the date first written above.

 

BURLINGTON COAT FACTORY WAREHOUSE CORPORATION
By:  

/s/ Paul Tang

Name:   Paul Tang
Title:   Executive Vice President

/s/ Joyce Manning Magrini

Joyce Manning Magrini

 

4

EX-31.1 4 d398893dex311.htm EX-31.1 EX-31.1

Exhibit 31.1

I, Thomas A. Kingsbury, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Burlington Coat Factory Investments Holdings, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a. Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b. Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c. Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

d. Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a. All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

b. Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: December 11, 2012

 

/s/ Thomas A. Kingsbury

Thomas A. Kingsbury
President and Chief Executive Officer
(Principal Executive Officer)
EX-31.2 5 d398893dex312.htm EX-31.2 EX-31.2

Exhibit 31.2

I, Todd Weyhrich, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Burlington Coat Factory Investments Holdings, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a. Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b. Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c. Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

d. Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a. All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

b. Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: December 11, 2012

 

/s/ Todd Weyhrich

Todd Weyhrich
Executive Vice President - Chief Financial Officer
(Principal Financial Officer)
EX-32.1 6 d398893dex321.htm EX-32.1 EX-32.1

Exhibit 32.1

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350

AS ADOPTED PURSUANT TO SECTION 906 OF

THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report of Burlington Coat Factory Investments Holdings, Inc. (the “Company”) on Form 10-Q for the fiscal quarter ended October 27, 2012, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Thomas A. Kingsbury, President and Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial position and results of operations of the Company.

Date: December 11, 2012

 

/s/ Thomas A. Kingsbury

Thomas A. Kingsbury
President and Chief Executive Officer
(Principal Executive Officer)
EX-32.2 7 d398893dex322.htm EX-32.2 EX-32.2

Exhibit 32.2

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350

AS ADOPTED PURSUANT TO SECTION 906 OF

THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report of Burlington Coat Factory Investments Holdings, Inc. (the “Company”) on Form 10-Q for the fiscal quarter ended October 27, 2012, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Todd Weyhrich, Executive Vice President and Chief Financial Officer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial position and results of operations of the Company.

Date: December 11, 2012

 

/s/ Todd Weyhrich

Todd Weyhrich

Executive Vice President - Chief Financial Officer

(Principal Financial Officer)
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text-indent:4%"><font style="font-family:times new roman" size="2">On May&#160;16, 2012, the Company entered into Amendment No.&#160;1 (the &#8220;Amendment&#8221;) to the Term Loan Credit Agreement, which, among other things, reduces the applicable margin on the interest rates applicable to the Company&#8217;s Term Loan Facility by 50 basis points.&#160;To accomplish this interest rate reduction, the Amendment provided for a replacement of the previously outstanding $950.5 million principal amount of term B loans (the &#8220;Term B Loans&#8221;) with a like aggregate principal amount of term B-1 loans (the &#8220;Term B-1 Loans&#8221;).&#160;The Company offered existing term loan lenders the option to convert their Term B Loans into Term B-1 Loans on a non-cash basis.&#160;The $119.3&#160;million of Term B Loans held by existing lenders electing not to convert their Term B Loans into Term B-1 Loans were prepaid in full on the effective date of the Amendment from the proceeds of new Term B-1 Loans. 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Income Taxes (Details Textual) (USD $)
3 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
Jan. 28, 2012
Income Taxes (Textual) [Abstract]          
Valuation allowances $ 6,100,000 $ 5,800,000 $ 6,100,000 $ 5,800,000 $ 6,100,000
Estimated effective income tax rate     38.10%    
Unrecognized tax benefits 7,500,000   7,500,000    
Income Tax Benefit (14,204,000) (13,395,000) (31,964,000) (47,712,000)  
Full Valuation Allowance $ 1,200,000   $ 1,200,000   $ 1,200,000
Maximum [Member]
         
Income Taxes (Textual) [Abstract]          
Various expiration periods maximum range     20 years    
Minimum [Member]
         
Income Taxes (Textual) [Abstract]          
Various expiration periods minimum range     5 years    

XML 16 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Current Liabilities (Details) (USD $)
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Loss Contingencies [Line Items]      
Self-insurance reserve expected to be paid $ 252,916,000 $ 221,343,000 $ 239,845,000
Remaining respective balances of self-insurance reserve 217,313,000 224,352,000 208,404,000
Other Current Liabilities (Textual) [Abstract]      
Customer liabilities 30,500,000 29,700,000 32,200,000
Self-insurance reserves 47,700,000 49,600,000 47,300,000
Insurance-related Assessments [Member]
     
Loss Contingencies [Line Items]      
Self-insurance reserve expected to be paid 18,800,000 19,100,000 18,000,000
Remaining respective balances of self-insurance reserve $ 28,900,000 $ 30,500,000 $ 29,300,000
XML 17 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock Based Compensation (Details 6) (Restricted Stock [Member], USD $)
9 Months Ended
Oct. 27, 2012
Restricted Stock [Member]
 
Non-vested Award transactions  
Non-Vested Awards/Options Outstanding, Number of Awards 28,122
Awards Granted, Number of Awards 5,000
Awards Vested, Number of Awards (28,122)
Non-Vested Awards/Options Outstanding, Number of Awards 5,000
Non-Vested Award/Options Outstanding, Weighted Average Grant Date Fair Value per Award $ 45.96
Awards Granted, Weighted Average Grant Date Fair Value Per Award $ 61.12
Awards vested, Grant Date Fair Value Per Award $ (45.96)
Non-Vested Award/Options Outstanding, Weighted Average Grant Date Fair Value per Award $ 61.12
XML 18 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Level 1 [Member]
     
Assets:      
Cash equivalents (including restricted cash) $ 34,959 $ 34,915 $ 34,924
Level 2 [Member] | Interest rate cap agreements [Member]
     
Assets:      
Interest rate cap agreements (a) 95 114 924
Level 3 [Member]
     
Assets:      
Note Receivable (b) $ 758 $ 763 $ 1,099
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Stock Option and Award Plans and Stock-Based Compensation (Tables)
9 Months Ended
Oct. 27, 2012
Stock Option and Award Plans and Stock-Based Compensation [Abstract]  
Non-cash stock compensation expense

The table below summarizes the types of stock compensation:

 

                                 
    (in thousands)  
    Three Months Ended     Nine Months Ended  
    October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Type of Non-Cash Stock Compensation

                               

Stock Option Compensation

  $ 590     $ 3,726     $ 1,507     $ 4,271  

Restricted Stock Compensation

    (25     291       461       646  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 565     $ 4,017     $ 1,968     $ 4,917  
   

 

 

   

 

 

   

 

 

   

 

 

 
Stock option transactions

Stock option transactions during the nine month period ended October 27, 2012 are summarized as follows:

 

                 
    Number of
Units
    Weighted
Average
Exercise
Price Per
Unit
 

Options Outstanding January 28, 2012

    472,673     $ 69.86  

Options Granted

    47,000       83.12  

Options Forfeited

    (24,768     (72.31

Options Exercised

    (15,233     (30.60
   

 

 

   

 

 

 

Options Outstanding October 27, 2012

    479,672     $ 73.04  
   

 

 

   

 

 

 
Non-vested stock option transactions

Non-vested stock option unit transactions during the nine months ended October 27, 2012 are summarized below:

 

                 
    Number of
Units
    Weighted
Average
Grant
Date Fair
Value
Per Unit
 

Non-Vested Options Outstanding, January 28, 2012

    290,464     $ 34.12  

Granted

    47,000       41.53  

Vested

    (53,259     (40.61

Forfeited

    (17,333     (43.11
   

 

 

   

 

 

 

Non-Vested Options Outstanding, October 27, 2012

    266,872     $ 33.50  
   

 

 

   

 

 

 
Summarizes information about the options to purchase units

The following table summarizes information about the exercise price and weighted average remaining contractual life of options to purchase units that were outstanding under the Plan as well as options that were exercisable under the Plan as of October 27, 2012:

 

                                 
    Options Outstanding     Options Exercisable  

Exercise Prices

  Number
Outstanding
At
October 27, 2012
    Weighted
Average
Remaining
Contractual Life
(Years)
    Number
Exercisable
At
October 27, 2012
    Weighted
Average
Remaining
Contractual Life
(Years)
 

$30.60

    215,151       6.4       118,546       5.9  

$50.00

    54,000       8.8       —         —    

$65.00

    30,667       9.7       —         —    

$120.00

    42,333       9.1       —         —    

$120.60

    123,521       5.2       80,254       4.3  

$270.00

    14,000       0.3       14,000       0.3  
   

 

 

           

 

 

         
      479,672               212,800          
   

 

 

           

 

 

         
Options to purchase units vested and expected to vest

The following table summarizes information about the exercise prices and weighted average remaining contractual life of vested options and options expected to vest during the contractual term:

 

                         

Exercise Prices

  Options     Weighted
Average
Remaining
Contractual
Life (Years)
    Weighted
Average
Exercise
Price
 

Vested and Expected to Vest as of October 27, 2012

                       

$30.60

    178,560       6.3     $ 30.60  

$50.00

    43,200       8.8     $ 50.00  

$65.00

    24,533       9.7     $ 65.00  

$120.00

    33,867       9.1     $ 120.00  

$120.60

    108,057       5.0     $ 120.60  

$270.00

    14,000       0.3     $ 270.00  
   

 

 

                 
      402,217                  
   

 

 

                 
Fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan

The fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan during the nine months ended October 27, 2012 and October 29, 2011:

 

                 
    Nine Months Ended  
    October 27,
2012
    October 29,
2011
 

Risk-Free Interest Rate

    1.0 –1.3     2.4 –3.4

Expected Volatility

    35.0     30.3

Expected Life (years)

    6.6       6.4 – 8.5  

Contractual Life (years)

    10       10  

Expected Dividend Yield

    0.0     0.0

Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:

               

$30.60

  $ —       $ —    

$50.00

  $ 28.14     $ 26.75  

$65.00

  $ 47.42     $ —    

$120.00

  $ 30.57     $ 17.67  

$120.60

  $ —       $ —    
Non-vested award transactions

Non-vested restricted stock transactions during the nine months ended October 27, 2012 are summarized below:

 

                 
    Number of
Awards
    Weighted
Average
Grant Date
Fair Value
Per Awards
 

Non-Vested Restricted Stock Awards Outstanding, January 28, 2012

    28,122     $ 45.96  

Restricted Stock Awards Granted

    5,000       61.12  

Restricted Stock Awards Vested

    (28,122     (45.96
   

 

 

   

 

 

 

Non-Vested Restricted Stock Awards Outstanding, October 27, 2012

    5,000     $ 61.12  
   

 

 

   

 

 

 
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M`&3M)P`1`!@```````$```"D@0````!B8V9I+3(P,3(Q,#(W+GAM;%54!0`# M:J+'4'5X"P`!!"4.```$.0$``%!+`0(>`Q0````(`.N!BT&(JW<[O1$``%W[ M```5`!@```````$```"D@7:0`0!B8V9I+3(P,3(Q,#(W7V-A;"YX;6Q55`4` M`VJBQU!U>`L``00E#@``!#D!``!02P$"'@,4````"`#K@8M!=%1EP#HT```0 MPP0`%0`8```````!````I(&"H@$`8F-F:2TR,#$R,3`R-U]D968N>&UL550% M``-JHL=0=7@+``$$)0X```0Y`0``4$L!`AX#%`````@`ZX&+00"-#-&?>P`` MP+(&`!4`&````````0```*2!"]`Q0````(`.N!BT'2/8Q3ETL` M`.3>!0`5`!@```````$```"D@?E2`@!B8V9I+3(P,3(Q,#(W7W!R92YX;6Q5 M5`4``VJBQU!U>`L``00E#@``!#D!``!02P$"'@,4````"`#K@8M!9W9DK?P1 M```)U@``$0`8```````!````I('?G@(`8F-F:2TR,#$R,3`R-RYX`L``00E#@``!#D!``!02P4&``````8`!@`:`@``)K$"```` ` end XML 22 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Events (Details Textual) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Oct. 29, 2012
Store
Jan. 28, 2013
Store
Subsequent Events (Textual) [Abstract]    
Number of stores closed   134
Number of stores closed at least one day 1  
Number of stores experienced significant damage 3  
Subsequent Event [Member]
   
Subsequent Events (Textual) [Abstract]    
Impact of Hurricane Sandy As a result of the effects of Hurricane Sandy on October 29, 2012, 134 of the Company’s stores were closed for at least one day, of which one store was closed permanently. Three of the Company’s stores experienced significant damage, which led to merchandise inventory totaling approximately $5.8 million at retail being totally destroyed and written off by the Company. The Company is insured at the selling price of the inventory less a deductible and believes it will be reimbursed in excess of the net book value of the merchandise inventory. The Company also lost long lived assets at these stores which had a net book value of approximately $1.3 million. These assets will be disposed of and written down to zero. The Company is insured at replacement costs for these assets.  
Subsequent Event [Member] | Hurricane [Member]
   
Subsequent Events (Textual) [Abstract]    
Inventory Lost in Natural Disaster Net Book Value   5.8
Net book value of lost long lived assets 1.3  
Long Lived Assets Disposed of 0  
XML 23 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details 2) (USD $)
9 Months Ended
Oct. 27, 2012
Non-vested stock option transactions  
Outstanding, Number of Units 479,672
Non-Vested Options [Member]
 
Non-vested stock option transactions  
Outstanding, Number of Units 290,464
Options Granted , Number of Units 47,000
Vested , Number of Units (53,259)
Forfeited , Number of Units (17,333)
Outstanding, Number of Units 266,872
Options Outstanding January 28, 2012, Weighted Average Exercise Price Per Unit $ 34.12
Granted , Weighted Average Grant Date Fair Value Per Unit $ 41.53
Vested , Weighted Average Grant Date Fair Value Per Unit $ (40.61)
Forfeited , Weighted Average Grant Date Fair Value Per Unit $ (43.11)
Options Outstanding October 27, 2012 Weighted Average Exercise Price Per Unit $ 33.50
XML 24 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities (Details Textual) (Interest rate cap agreements [Member], USD $)
In Millions, unless otherwise specified
9 Months Ended
Oct. 27, 2012
Agreement
Interest rate cap agreements [Member]
 
Derivative Instruments and Hedging Activities (Textual) [Abstract]  
Notional principal amount $ 450
Interest cap rate 7.00%
Interest cap rate terminates May 31, 2015
Number of Interest rate cap agreements 2
XML 25 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Guarantor Data (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Oct. 27, 2012
Oct. 29, 2011
REVENUES:                
Net Sales $ 967,894     $ 898,663     $ 2,814,497 $ 2,621,094
Other Revenue 7,958     8,140     23,051 22,483
Total Revenue 975,852     906,803     2,837,548 2,643,577
COSTS AND EXPENSES:                
Cost of Sales 594,389     540,807     1,757,823 1,625,163
Selling and Administrative Expenses 335,106     317,134     948,432 882,668
Restructuring and Separation Costs (Note 4) 635     431     2,441 5,621
Depreciation and Amortization 40,844     39,188     120,748 113,174
Impairment Charges - Long-Lived Assets 1,021            1,100 34
Other Income, Net (1,913)     (1,897)     (6,330) (7,015)
Loss on Extinguishment of Debt              3,413 37,764
Interest Expense 27,421     34,812     84,529 97,976
Loss (Earnings) from Equity Investment                    
Total Costs and Expenses 997,503     930,475     2,912,156 2,755,385
(Loss) Income Before (Benefit) Provision for Income Taxes (21,651)     (23,672)     (74,608) (111,808)
Income Tax Benefit (14,204)     (13,395)     (31,964) (47,712)
Net (Loss) Income (7,447) (31,257) (3,940) (10,277) (32,763) (21,056) (42,644) (64,096)
Total Comprehensive (Loss) Income (7,447)     (10,277)     (42,644) (64,096)
Holdings [Member]
               
REVENUES:                
Net Sales                    
Other Revenue                    
Total Revenue                    
COSTS AND EXPENSES:                
Cost of Sales                    
Selling and Administrative Expenses                    
Restructuring and Separation Costs (Note 4)                    
Depreciation and Amortization                    
Impairment Charges - Long-Lived Assets                   
Other Income, Net                    
Loss on Extinguishment of Debt                   
Interest Expense                    
Loss (Earnings) from Equity Investment 7,447     10,277     42,644 64,096
Total Costs and Expenses 7,447     10,277     42,644 64,096
(Loss) Income Before (Benefit) Provision for Income Taxes (7,447)     (10,277)     (42,644) (64,096)
Income Tax Benefit                    
Net (Loss) Income (7,447)     (10,277)     (42,644) (64,096)
Total Comprehensive (Loss) Income (7,447)     (10,277)     (42,644) (64,096)
BCFW [Member]
               
REVENUES:                
Net Sales                    
Other Revenue 97     114     175 294
Total Revenue 97     114     175 294
COSTS AND EXPENSES:                
Cost of Sales                    
Selling and Administrative Expenses 45,903     46,597     143,942 129,272
Restructuring and Separation Costs (Note 4) 413     (895)     1,783 3,025
Depreciation and Amortization 6,290     6,482     19,526 17,070
Impairment Charges - Long-Lived Assets                   
Other Income, Net (942)     (1,268)     (3,022) (4,285)
Loss on Extinguishment of Debt              3,413 36,042
Interest Expense 26,921     34,293     83,001 95,352
Loss (Earnings) from Equity Investment (21,598)     (31,361)     (99,375) (94,231)
Total Costs and Expenses 56,987     53,848     149,268 182,245
(Loss) Income Before (Benefit) Provision for Income Taxes (56,890)     (53,734)     (149,093) (181,951)
Income Tax Benefit (49,443)     (43,457)     (106,449) (117,855)
Net (Loss) Income (7,447)     (10,277)     (42,644) (64,096)
Total Comprehensive (Loss) Income (7,447)     (10,277)     (42,644) (64,096)
Guarantors [Member]
               
REVENUES:                
Net Sales 967,894     898,663     2,814,497 2,621,094
Other Revenue 7,861     8,026     22,876 22,189
Total Revenue 975,755     906,689     2,837,373 2,643,283
COSTS AND EXPENSES:                
Cost of Sales 594,389     540,807     1,757,823 1,625,163
Selling and Administrative Expenses 289,203     270,537     804,490 753,396
Restructuring and Separation Costs (Note 4) 222     1,326     658 2,596
Depreciation and Amortization 34,554     32,706     101,222 96,104
Impairment Charges - Long-Lived Assets 1,021           1,100 34
Other Income, Net (971)     (629)     (3,308) (2,730)
Loss on Extinguishment of Debt                 1,722
Interest Expense 500     519     1,528 2,624
Loss (Earnings) from Equity Investment                    
Total Costs and Expenses 918,918     845,266     2,663,513 2,478,909
(Loss) Income Before (Benefit) Provision for Income Taxes 56,837     61,423     173,860 164,374
Income Tax Benefit 35,239     30,062     74,485 70,143
Net (Loss) Income 21,598     31,361     99,375 94,231
Total Comprehensive (Loss) Income 21,598     31,361     99,375 94,231
Eliminations [Member]
               
REVENUES:                
Net Sales                    
Other Revenue                    
Total Revenue                    
COSTS AND EXPENSES:                
Cost of Sales                    
Selling and Administrative Expenses                    
Restructuring and Separation Costs (Note 4)                    
Depreciation and Amortization                    
Impairment Charges - Long-Lived Assets                   
Other Income, Net                    
Loss on Extinguishment of Debt                   
Interest Expense                    
Loss (Earnings) from Equity Investment 14,151     21,084     56,731 30,135
Total Costs and Expenses 14,151     21,084     56,531 30,135
(Loss) Income Before (Benefit) Provision for Income Taxes (14,151)     (21,084)     (56,731) (30,135)
Income Tax Benefit                    
Net (Loss) Income (14,151)     (21,084)     (56,731) (30,135)
Total Comprehensive (Loss) Income $ (14,151)     $ (21,084)     $ (56,731) $ (30,135)
XML 26 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock Based Compensation (Details Textual) (USD $)
3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 3 Months Ended 9 Months Ended
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Stock Options [Member]
Oct. 29, 2011
Stock Options [Member]
Oct. 27, 2012
Stock Options [Member]
Oct. 29, 2011
Stock Options [Member]
Jan. 28, 2012
Stock Options [Member]
Oct. 27, 2012
Restricted Stock [Member]
Oct. 29, 2011
Restricted Stock [Member]
Maximum [Member]
Oct. 27, 2012
Restricted Stock Units [Member]
Oct. 29, 2011
Restricted Stock Units [Member]
Oct. 27, 2012
Restricted Stock Units [Member]
Oct. 29, 2011
Restricted Stock Units [Member]
Oct. 27, 2012
Common Class A [Member]
Apr. 13, 2006
Common Class A [Member]
Oct. 27, 2012
Common Class L [Member]
Apr. 13, 2006
Common Class L [Member]
Apr. 30, 2011
30.60 [Member]
Oct. 27, 2012
30.60 [Member]
Oct. 27, 2012
50.00 [Member]
Oct. 27, 2012
120.00 [Member]
Apr. 30, 2011
120.60 [Member]
Oct. 27, 2012
120.60 [Member]
Apr. 30, 2011
90 [Member]
Apr. 30, 2011
180 [Member]
Oct. 27, 2012
65 [Member]
Oct. 27, 2012
120 After may 17,2012 [Member]
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]                                                                  
Number of stock in each units 479,672           479,672   479,672   479,672   472,673     91,460   91,460     9   1   215,151 54,000 42,333   123,521        
Number of units reserved or share authorized under plan 730,478           730,478                         6,574,302   730,478                      
Grant date fair value of options issued at an exercise price                                               $ 30.60   $ 50.00 $ 120.00 $ 120.60   $ 90.00 $ 180.00 $ 65.00 $ 120.00
Service-based awards grant vested percentage                     40.00% 40.00%                                          
Second and Third Anniversary of Excise option                     All of the service-based awards granted during the nine month period ended October 27, 2012 and October 29, 2011 vest 40% on the second anniversary of the award with the remaining amount vesting ratably over the subsequent three years. The final exercise date for any option granted is the tenth anniversary of the grant date.     Restricted stock awards typically vest 50% on the second anniversary of the grant and 50% on the third anniversary of the grant.                                      
Non cash compensation before adjustment of forfeitures $ 565,000 $ 612,000 $ 791,000 $ 4,017,000 $ 195,000 $ 705,000     $ 600,000 $ 3,700,000 $ 1,500,000 $ 4,300,000                                          
Adjustment of forfeitures                 100,000 3,200,000 200,000 2,500,000                                          
Non cash compensation net                 400,000 1,600,000 900,000 2,500,000                                          
Unearned non-cash stock-based compensation                 4,100,000   4,100,000     200,000                                      
Requisite service period for stock option and restricted stock awards                     5 years                                            
All awards grants vest on third anniversary             50.00%                                                    
All awards grants vest on second anniversary             50.00%                                                    
Non-cash restricted stock compensation expense, inclusive of forfeitures 200,000           900,000 100,000             100,000                                    
Expects to recognize as expense over period                           2 years 7 months 6 days                                      
Non cash Restricted stock compensation Expense                               0 300,000 500,000 600,000                            
Stock Option and Award Plans and Stock Based Compensation (Textual) [Abstract]                                                                  
Non-Cash Stock Based Compensation Expense $ 565,000     $ 4,017,000     $ 1,968,000 $ 4,917,000                                                  
Service-based awards grant vested period             3 years                                                    
Option exercisable period             60 days                                                    
Unearned non-cash stock-based compensation expected to recognize as expense over period             5 years                                                    
Outstanding options to purchase units had vested percentage 44.40%           44.40%                                                    
XML 27 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring and Separation
9 Months Ended
Oct. 27, 2012
Restructuring and Separation [Abstract]  
Restructuring and Separation

4. Restructuring and Separation

The Company accounts for restructuring and separation costs in accordance with ASC Topic No. 420, “Exit or Disposal Cost Obligations” (Topic No. 420). In an effort to improve workflow efficiencies and realign certain responsibilities, the Company effected a reorganization of certain positions within its stores and corporate locations. During the three and nine months ended October 27, 2012, severance charges were $0.6 million and $2.4 million, respectively, and were recorded in the line item “Restructuring and Separation Costs” in the Company’s Condensed Consolidated Statement of Operations and Comprehensive Loss.

In comparison, severance charges for the three and nine months ended October 29, 2011 were $0.4 million and $5.6 million, respectively. Severance charges for the three and nine months ended October 29, 2011 were also the result of the Company’s efforts to improve workflow efficiencies and realign certain responsibilities, which effected the reorganization of certain positions within its stores and corporate locations.

The table below summarizes the charges and payments related to the Company’s restructuring and separation costs, which are included in the line items “Other Current Liabilities” in the Company’s Condensed Consolidated Balance Sheet as of October 27, 2012 and October 29, 2011:

 

                                         
    (in thousands)  
    January 28,
2012
    Charges     Cash
Payments
    Other     October 27,
2012
 

Severance – Restructuring

  $ —       $ 1,015     $ (1,015   $ —       $ —    

Severance – Separation Cost

    979       1,426       (1,670     —         735  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 979     $ 2,441     $ (2,685   $ —       $ 735  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
    (in thousands)  
    January 29,
2011
    Charges     Cash
Payments
    Other     October 29,
2011
 

Severance – Restructuring

  $ 6     $ 3,503     $ (3,286   $ —       $ 223  

Severance – Separation Cost

    1,231       2,118       (2,260     —         1,089  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,237     $ 5,621     $ (5,546   $ —       $ 1,312  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
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M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)FYB'0^)FYB M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^)FYB'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)FYB'0^)FYB M'0^)FYB7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T* M#0H\>&UL('AM;&YS.F\],T0B=7)N.G-C:&5M87,M;6EC'1087)T7V4W.#!A C868P7S,R9#9?-&4S,E]A93=B7SAA,CAD,V1F-3DP.2TM#0H` ` end XML 29 R43.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details 3) (USD $)
9 Months Ended
Oct. 27, 2012
Summarizes information about the options to purchase units  
Number Outstanding at October 27, 2012 479,672
Number Exercisable at October 27, 2012 212,800
Range One [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 30.60
Number Outstanding at October 27, 2012 215,151
Weighted Average Remaining Contractual Life (Years) 6 years 4 months 24 days
Number Exercisable at October 27, 2012 118,546
Weighted Average Remaining Contractual Life (Years) 5 years 10 months 24 days
Range Two [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 50.00
Number Outstanding at October 27, 2012 54,000
Weighted Average Remaining Contractual Life (Years) 8 years 9 months 18 days
Range Three [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 65.00
Number Outstanding at October 27, 2012 30,667
Weighted Average Remaining Contractual Life (Years) 9 years 8 months 12 days
Range Four [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 120.00
Number Outstanding at October 27, 2012 42,333
Weighted Average Remaining Contractual Life (Years) 9 years 1 month 6 days
Range Five [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 120.60
Number Outstanding at October 27, 2012 123,521
Weighted Average Remaining Contractual Life (Years) 5 years 2 months 12 days
Number Exercisable at October 27, 2012 80,254
Weighted Average Remaining Contractual Life (Years) 4 years 3 months 18 days
Range Six [Member]
 
Summarizes information about the options to purchase units  
Exercise Prices $ 270.00
Number Outstanding at October 27, 2012 14,000
Weighted Average Remaining Contractual Life (Years) 3 months 18 days
Number Exercisable at October 27, 2012 14,000
Weighted Average Remaining Contractual Life (Years) 3 months 18 days
XML 30 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Long Term Debt (Details) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Long Term Debt      
Capital Lease Obligations $ 23,479 $ 24,000 $ 24,142
Total debt 1,428,086 1,613,123 1,610,966
Less: current maturities (5,515) (7,659) (5,728)
Long-term debt, net of current maturities 1,422,571 1,605,464 1,605,238
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 [Member]
     
Long Term Debt      
Long-term Debt excluding capital lease obligation 932,907 949,123 978,658
$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019 [Member]
     
Long Term Debt      
Long-term Debt excluding capital lease obligation 450,000 450,000 450,000
$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016 [Member]
     
Long Term Debt      
Long-term Debt excluding capital lease obligation 21,700 190,000 158,100
Promissory Note, non-interest bearing, due in monthly payments of $17 through January 1, 2012 [Member]
     
Long Term Debt      
Long-term Debt excluding capital lease obligation     50
Promissory Note, 4.4% due in monthly payments of $8 through December 23, 2011 [Member]
     
Long Term Debt      
Long-term Debt excluding capital lease obligation     $ 16
XML 31 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholder's Deficit (Details Textual) (USD $)
3 Months Ended 9 Months Ended
Jul. 28, 2012
Apr. 28, 2012
Apr. 30, 2011
Oct. 27, 2012
Oct. 29, 2011
Stockholder's Deficit (Textual) [Abstract]          
Payment of Dividends $ 100,000 $ 1,700,000 $ 297,900,000 $ 1,711,000 $ 297,917,000
Dividend forfeited       $ 400,000  
XML 32 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details 4) (USD $)
9 Months Ended
Oct. 27, 2012
Options to purchase units vested and expected to vest  
Options 402,217
Range One [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 30.60
Options 178,560
Weighted Average Remaining Contractual Life (Years) 6 years 3 months 18 days
Weighted Average Exercise Price $ 30.60
Range Two [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 50.00
Options 43,200
Weighted Average Remaining Contractual Life (Years) 8 years 9 months 18 days
Weighted Average Exercise Price $ 50.00
Range Three [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 65.00
Options 24,533
Weighted Average Remaining Contractual Life (Years) 9 years 8 months 12 days
Weighted Average Exercise Price $ 65.00
Range Four [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 120.00
Options 33,867
Weighted Average Remaining Contractual Life (Years) 9 years 1 month 6 days
Weighted Average Exercise Price $ 120.00
Range Five [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 120.60
Options 108,057
Weighted Average Remaining Contractual Life (Years) 5 years
Weighted Average Exercise Price $ 120.60
Range Six [Member]
 
Options to purchase units vested and expected to vest  
Exercise Prices, Vested and Expected to Vest as of October 27, 2012 $ 270.00
Options 14,000
Weighted Average Remaining Contractual Life (Years) 3 months 18 days
Weighted Average Exercise Price $ 270.00
XML 33 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Long Term Debt (Details Textual) (USD $)
3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
Jan. 28, 2012
May 16, 2012
Secured Debt [Member]
Oct. 27, 2012
Senior Secured Term Loan Facility [Member]
Oct. 27, 2012
Senior Secured Term Loan Facility [Member]
May 16, 2012
Senior Secured Term Loan Facility [Member]
Secured Debt [Member]
Oct. 27, 2012
Senior Notes [Member]
Oct. 27, 2012
ABL Line of Credit [Member]
Oct. 29, 2011
ABL Line of Credit [Member]
Oct. 27, 2012
ABL Line of Credit [Member]
Oct. 29, 2011
ABL Line of Credit [Member]
Jan. 28, 2012
ABL Line of Credit [Member]
Sep. 02, 2011
ABL Line of Credit [Member]
Oct. 27, 2012
ABL Line of Credit [Member]
Minimum [Member]
Sep. 02, 2011
ABL Line of Credit [Member]
Minimum [Member]
Oct. 27, 2012
ABL Line of Credit [Member]
Maximum [Member]
Sep. 02, 2011
ABL Line of Credit [Member]
Maximum [Member]
Oct. 27, 2012
Promissory Note, non-interest bearing [Member]
Oct. 27, 2012
Promissory Note, 4.4% [Member]
Oct. 27, 2012
Term Loan [Member]
Oct. 27, 2012
Term Loan [Member]
Secured Debt [Member]
Oct. 27, 2012
October 27,2012 [Member]
Senior Secured Term Loan Facility [Member]
Minimum [Member]
Oct. 27, 2012
October 27,2012 [Member]
Senior Secured Term Loan Facility [Member]
Maximum [Member]
Oct. 27, 2012
November 2, 2013 [Member]
Senior Secured Term Loan Facility [Member]
Minimum [Member]
Oct. 27, 2012
November 2, 2013 [Member]
Senior Secured Term Loan Facility [Member]
Maximum [Member]
Oct. 27, 2012
November 1, 2014 [Member]
Senior Secured Term Loan Facility [Member]
Minimum [Member]
Oct. 27, 2012
November 1, 2014 [Member]
Senior Secured Term Loan Facility [Member]
Maximum [Member]
Oct. 27, 2012
October 31, 2015 [Member]
Senior Secured Term Loan Facility [Member]
Minimum [Member]
Oct. 27, 2012
October 31, 2015 [Member]
Senior Secured Term Loan Facility [Member]
Maximum [Member]
Oct. 27, 2012
January 30, 2016 and thereafter [Member]
Senior Secured Term Loan Facility [Member]
Minimum [Member]
Oct. 27, 2012
January 30, 2016 and thereafter [Member]
Senior Secured Term Loan Facility [Member]
Maximum [Member]
Long Terms Debt (Textual) [Abstract]                                                                    
Debt instrument, face amount             $ 1,000,000 $ 1,000,000   $ 450,000 $ 600,000   $ 600,000                                          
Senior Secured Term Loan, Floor Rate             1.50% 1.50%                                                    
Senior Secured Term Loan, Spread on variable rate             4.80% 4.80%                                                    
Senior Secured Term Loan Facility, Repayment Period, End Date               Jan. 28, 2017                                                    
ABL Senior Secured Revolving Facility, Expiration Date               Feb. 23, 2017         Sep. 02, 2016                                          
Long Term Debt, Stated Interest Rate             4.80% 4.80%   10.00%                       4.40%                        
Senior Notes, 10%, Repayment Period, End date                   Sep. 15, 2019                                                
Debt Instrument, Maturity Date                   Feb. 15, 2019                     Jan. 01, 2012 Dec. 23, 2011                        
Senior Secured Term Loan Facility, Repayment Period, Start Date               Jan. 30, 2016                                                    
Senior Notes, 10%, Repayment Period, Start Date                   Feb. 15, 2013                                                
Periodic payment amount             2,400,000                           17,000 8,000                        
Line of Credit Facility, Maximum Borrowing Capacity                 1,000,000,000             600,000,000                                    
Interest rate margin applicable to the Company's Term Loan Facility (Basis Points)     0.0050                                                              
Outstanding amount           950,500,000         21,700,000 158,100,000 21,700,000 158,100,000                                        
Amount of Term B loan repaid     135,749,000 790,050,000                                       119,300,000                    
Debt instrument payment date Jul. 28, 2012                                                                  
Prepayment amount of term loan 9,500,000                                                                  
Loss on Extinguishment of Debt      3,413,000 37,764,000                                                            
Debt extinguishment fees     3,100,000                                                              
Consolidated leverage ratio compared with total debt to adjusted EBITDA                                                 1 6.75 1 6.25 1 5.50 1 5.00 1 4.75
Consolidated interest coverage ratio expense to Adjusted EBITDA                                                 1 1.75 1 1.85     1 2.00 1 2.10
Senior Secured Term Loan Facility, Interest Rate under sub Option two of Term one             1.50% 1.50%                                                    
Senior Secured Term Loan Facility, Interest Rate under sub Option two of Term Two             0.50% 0.50%                                                    
Senior Secured Term Loan Facility, Interest Rate under sub Option two of Term one             1.50% 1.50%                                                    
Senior Secured Term Loan Facility, Interest Rate under sub Option three of Term Two, Description             one-month plus 1.00%, plus, in each case, an applicable margin one-month plus 1.00%, plus, in each case, an applicable margin                                                    
Senior Secured Term Loan Facility, Interest Rate under sub Option three of Term Two, Spread On Variable rate             1.00% 1.00%                                                    
Senior Secured Term Loan Facility, Interest Rate, Period End 5.50%   5.50%                                                              
ABL line of credit extendable borrowing amount                               900,000,000                                    
Administrative agent plus applicable margin Interest rate                                   1.75%   2.25%                            
Prime rate plus applicable margin Interest rate                                   0.75%   1.25%                            
Fee unused loan commitments percentage                         0.375%                                          
Fee line of credit loan commitments percentage                                 0.75%   1.00%                              
ABL line of credit average outstanding amount                     41,100,000 142,100,000 45,000,000 82,300,000                                        
ABL line of credit average interest rate                     2.10% 2.60% 2.10% 3.50%                                        
ABL line of credit maximum borrowing amount                     84,000,000 195,000,000 213,700,000 195,000,000                                        
ABL line of credit Available amount                     542,300,000 401,300,000 542,300,000 401,300,000                                        
Current Borrowing Capacity         190,000,000                                                          
ABL line of credit Borrowing rate                     4.00% 2.70% 4.00% 2.70%                                        
Deferred financing fees net                     26,200,000 31,800,000 26,200,000 31,800,000 31,500,000                                      
Amortization of deferred financing fees     4,100,000 10,300,000             1,400,000 5,300,000                                            
Deferred financing fees     800,000                                                              
Deferred financing fees net     $ 4,138,000 $ 10,297,000                                     $ 2,000,000                      
XML 34 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring and Separation (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
Summarizes the charges and payments related to restructuring and separation costs        
Severance-restructuring -separation cost, beginning balance     $ 979 $ 1,237
Severance-restructuring -separation cost, Charges 635 431 2,441 5,621
Severance-restructuring -separation cost, cash payment     (2,685) (5,546)
Severance-restructuring -separation cost, other          
Severance-restructuring -separation cost, ending balance 735 1,312 735 1,312
Severance-Restructuring [Member]
       
Summarizes the charges and payments related to restructuring and separation costs        
Severance-restructuring -separation cost, beginning balance       6
Severance-restructuring -separation cost, Charges     1,015 3,503
Severance-restructuring -separation cost, cash payment     (1,015) (3,286)
Severance-restructuring -separation cost, other          
Severance-restructuring -separation cost, ending balance   223   223
Severance-Separation Cost [Member]
       
Summarizes the charges and payments related to restructuring and separation costs        
Severance-restructuring -separation cost, beginning balance     979 1,231
Severance-restructuring -separation cost, Charges     1,426 2,118
Severance-restructuring -separation cost, cash payment     (1,670) (2,260)
Severance-restructuring -separation cost, other          
Severance-restructuring -separation cost, ending balance $ 735 $ 1,089 $ 735 $ 1,089
XML 35 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Long Term Debt
9 Months Ended
Oct. 27, 2012
Long Term Debt [Abstract]  
Long Term Debt

3. Long Term Debt

Long term debt consists of:

 

                         
    (in thousands)  
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8%, due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

  $ 932,907     $ 949,123     $ 978,658  

$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

    450,000       450,000       450,000  

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016.

    21,700       190,000       158,100  

Promissory Note, non-interest bearing, due in monthly payments of $17 through January 1, 2012.

    —         —         50  

Promissory Note, 4.4% due in monthly payments of $8 through December 23, 2011.

    —         —         16  

Capital Lease Obligations

    23,479       24,000       24,142  
   

 

 

   

 

 

   

 

 

 

Total debt

    1,428,086       1,613,123       1,610,966  

Less: current maturities

    (5,515     (7,659     (5,728
   

 

 

   

 

 

   

 

 

 

Long-term debt, net of current maturities

  $ 1,422,571     $ 1,605,464     $ 1,605,238  
   

 

 

   

 

 

   

 

 

 

$1 Billion Senior Secured Term Loan Facility (Term Loan Facility)

On May 16, 2012, the Company entered into Amendment No. 1 (the “Amendment”) to the Term Loan Credit Agreement, which, among other things, reduces the applicable margin on the interest rates applicable to the Company’s Term Loan Facility by 50 basis points. To accomplish this interest rate reduction, the Amendment provided for a replacement of the previously outstanding $950.5 million principal amount of term B loans (the “Term B Loans”) with a like aggregate principal amount of term B-1 loans (the “Term B-1 Loans”). The Company offered existing term loan lenders the option to convert their Term B Loans into Term B-1 Loans on a non-cash basis. The $119.3 million of Term B Loans held by existing lenders electing not to convert their Term B Loans into Term B-1 Loans were prepaid in full on the effective date of the Amendment from the proceeds of new Term B-1 Loans. The Term B-1 Loans have the same maturity date that was applicable to the Term B Loans. The Term Loan Credit Agreement provisions relating to the representations and warranties, covenants and events of default applicable to the Company and the guarantors were not modified by the Amendment.

As a result of this transaction, mandatory quarterly payments of $2.4 million are payable as of the last day of each quarter beginning with the quarter ended July 28, 2012. The Company elected to make a prepayment of $9.5 million in May 2012, which offsets the mandatory quarterly payments through August 3, 2013.

In accordance with ASC Topic No. 470-50, “Debt Modifications and Extinguishments” (Topic 470), the Company recognized a non-cash loss on the partial extinguishment of debt of $3.4 million, which was recorded in the line item “Loss on the Extinguishment of Debt” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012. In connection with the Amendment, the Company incurred fees of $3.1 million, primarily related to legal and placement fees, which were recorded in the line item “Selling and Administrative Expense” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012 related to the portion of the debt that was not extinguished.

The Term Loan Facility contains financial, affirmative and negative covenants and requires that BCFWC, exclusive of subsidiaries (referred to herein as “BCFW”), among other things, maintain on the last day of each fiscal quarter a consolidated leverage ratio not to exceed a maximum amount and maintain a consolidated interest coverage ratio of at least a certain amount. The consolidated leverage ratio compares our total debt to Adjusted EBITDA, as each term is defined in the Term Loan Credit Agreement, for the trailing twelve months, and such ratios may not exceed 6.75 to 1 through October 27, 2012; 6.25 to 1 through November 2, 2013; 5.50 to 1 through November 1, 2014; 5.00 to 1 through October 31, 2015; and 4.75 to 1 at January 30, 2016 and thereafter. The consolidated interest coverage ratio compares our consolidated interest expense to Adjusted EBITDA, as each term is defined in the Term Loan Credit Agreement, for the trailing twelve months, and such ratios must exceed 1.75 to 1 through October 27, 2012; 1.85 to 1 through November 2, 2013; 2.00 to 1 through October 31, 2015; and 2.10 to 1 at January 30, 2016 and thereafter. Adjusted EBITDA is a non-GAAP financial measure of our liquidity. Adjusted EBITDA, as defined in the credit agreement governing the Company’s Term Loan Facility, starts with consolidated net loss for the period and adds back (i) depreciation, amortization, impairments and other non-cash charges that were deducted in arriving at consolidated net loss, (ii) the (benefit) provision for taxes, (iii) interest expense, (iv) advisory fees, and (v) unusual, non-recurring or extraordinary expenses, losses or charges as reasonably approved by the administrative agent for such period. Adjusted EBITDA is used to calculate the consolidated leverage ratio. Adjusted EBITDA provides management, including the Company’s chief operating decision maker, with helpful information with respect to its operations such as its ability to meet its future debt service, fund its capital expenditures and working capital requirements, and comply with various covenants in each indenture governing its outstanding notes and the credit agreements governing its senior secured credit facilities which are material to its financial condition and financial statements.

 

The interest rates for the Term Loan Facility are based on: (i) for LIBO rate loans for any interest period, at a rate per annum equal to (a) the greater of (x) the LIBO rate, as determined by the Term Loan Facility Administrative Agent, for such interest period multiplied by the Statutory Reserve Rate (as defined in the Term Loan Credit Agreement) and (y) 1.50% (the Term Loan Adjusted LIBO Rate), plus an applicable margin; and (ii) for prime rate loans, a rate per annum equal to the highest of (a) the variable annual rate of interest then announced by JPMorgan Chase Bank, N.A. at its head office as its “prime rate,” (b) the federal funds rate in effect on such date plus 0.50% per annum, and (c) the Term Loan Adjusted LIBO Rate for the applicable class of term loans for one-month plus 1.00%, plus, in each case, an applicable margin. The interest rate on the Term Loan Facility was 5.5% as of October 27, 2012.

ABL Line of Credit

On September 2, 2011, the Company completed an amendment and restatement of the credit agreement governing the Company’s $600 million ABL Line of Credit, which, among other things, extended the maturity date to September 2, 2016. The aggregate amount of commitments under the amended and restated credit agreement is $600 million and, subject to the satisfaction of certain conditions, the Company may increase the aggregate amount of commitments up to $900 million. Interest rates under the amended and restated credit agreement are based on LIBO rates as determined by the administrative agent plus an applicable margin of 1.75% to 2.25% based on daily availability, or various prime rate loan options plus an applicable margin of 0.75% to 1.25% based on daily availability. The fee on the average daily balance of unused loan commitments is 0.375%.

Prior to the September 2, 2011 ABL amendment and restatement, the ABL Line of Credit carried an interest rate of LIBOR plus a spread which was determined by the Company’s annual average borrowings outstanding. Commitment fees of 0.75% to 1.0%, based on the Company’s usage of the line of credit, were charged on the unused portion of the facility and were included in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss.

At October 27, 2012, the Company had $542.3 million available under the ABL Line of Credit and $21.7 million of outstanding borrowings. The maximum borrowings under the facility during the three and nine month periods ended October 27, 2012 amounted to $84.0 million and $213.7 million, respectively. Average borrowings during the three and nine month periods ended October 27, 2012 amounted to $41.1 million and $45.0 million, respectively, at average interest rates of 2.1% for both periods. At October 27, 2012 the Company’s borrowing rate related to the ABL Line of Credit was 4.0%. At January 28, 2012, $190.0 million was outstanding under this facility.

At October 29, 2011, the Company had $401.3 million available under the ABL Line of Credit and $158.1 million of outstanding borrowings. The maximum borrowings under the facility during each of the three and nine month periods ended October 29, 2011 amounted to $195.0 million for both periods. Average borrowings during the three and nine month periods ended October 29, 2011 amounted to $142.1 million and $82.3 million, respectively, at average interest rates of 2.6% and 3.5%, respectively. At October 29, 2011 the Company’s borrowing rate related to the ABL Line of Credit was 2.7%.

Both the Term Loan Facility and the ABL Line of Credit are fully, jointly, severally, unconditionally, and irrevocably guaranteed by all of the Company’s subsidiaries (with the exception of one immaterial non-guarantor subsidiary). The ABL Line of Credit is collateralized by a first lien on the Company’s inventory and receivables and a second lien on the Company’s real estate and property and equipment. The Term Loan Facility is collateralized by a first lien on the Company’s real estate, favorable leases, and machinery and equipment and a second lien on the Company’s inventory and receivables.

As of October 27, 2012, the Company was in compliance with all of its debt covenants. The agreements regarding the ABL Line of Credit and the Term Loan Facility, as well as the indenture governing the Senior Notes, contain covenants that, among other things, limit the Company’s ability, and the ability of the Company’s restricted subsidiaries, to pay dividends on, redeem or repurchase capital stock; make investments; incur additional indebtedness or issue preferred stock; create liens; permit dividends or other restricted payments by the Company’s subsidiaries; sell all or substantially all of the Company’s assets or consolidate or merge with or into other companies; and engage in transactions with affiliates.

The Company had $26.2 million, $31.5 million and $31.8 million in deferred financing fees, net of accumulated amortization, as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively, related to its debt instruments recorded in the line item “Other Assets” on the Company’s Condensed Consolidated Balance Sheets. Amortization of deferred financing fees amounted to $1.4 million and $5.3 million for the three month periods ended October 27, 2012 and October 29, 2011, respectively, and is included in the line item “Interest Expense” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss.

Amortization of deferred financing fees amounted to $4.1 million and $10.3 million for the nine months ended October 27, 2012 and October 29, 2011, respectively. During the nine months ended October 27, 2012, the Company recorded $0.8 million of new deferred financing costs and wrote off $2.0 million deferred financing costs and accumulated amortization related to the Amendment of the Term Loan Facility discussed above.

 

XML 36 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring and Separation (Details Textual) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
Restructuring and Separation Costs (Textual) [Abstract]        
Severance charge $ 0.6 $ 0.4 $ 2.4 $ 5.6
XML 37 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
Type of Non-Cash Stock Compensation        
Stock Option Compensation $ 590 $ 3,726 $ 1,507 $ 4,271
Restricted Stock Compensation (25) 291 461 646
Total $ 565 $ 4,017 $ 1,968 $ 4,917
XML 38 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Guarantor Data (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Oct. 27, 2012
Oct. 29, 2011
OPERATING ACTIVITIES                
Net Cash Provided by Operating Activities             $ 313,196 $ 225,182
INVESTING ACTIVITIES                
Cash Paid For Property and Equipment             (129,254) (116,246)
Proceeds Received from Sale of Property and Equipment             407 663
Lease Acquisition Costs             (430) (557)
Increase in Restricted Cash and Cash Equivalents                (4,558)
Other               (1,064)
Net Cash Used in Investing Activities             (129,277) (121,762)
FINANCING ACTIVITIES                
Proceeds from Long Term Debt - ABL Line of Credit             404,500 687,800
Proceeds from Long Term Debt - Senior Notes                450,000
Proceeds from Long Term Debt - Term Loan             116,913 991,158
Principal Payments on Long Term Debt - ABL Line of Credit             (572,800) (698,300)
Principal Payments on Long Term Debt - Senior Discount Notes                (99,309)
Principal Payments on Long Term Debt - Senior Notes               (302,056)
Principal Payments on Long Term Debt             (521) (622)
Principal Payments on Long Term Debt - Term Loan             (135,749) (790,050)
Debt Issuance Costs             (807) (29,255)
Stock Options Exercised and Related Tax Benefits 100 267 394 2 310   761 760
Intercompany Borrowings (Payments)                  
Payment of Dividends   (100) (1,700)     (297,900) (1,711) (297,917)
Receipt of Dividends                  
Net Cash Used in Financing Activities             (189,414) (87,791)
(Decrease)/Increase in Cash and Cash Equivalents             (5,495) 15,629
Cash and Cash Equivalents at Beginning of Period     35,664     30,214 35,664 30,214
Cash and Cash Equivalents at End of Period 30,169     45,843     30,169 45,843
Holdings [Member]
               
OPERATING ACTIVITIES                
Net Cash Provided by Operating Activities                  
INVESTING ACTIVITIES                
Cash Paid For Property and Equipment                  
Proceeds Received from Sale of Property and Equipment                  
Lease Acquisition Costs                  
Increase in Restricted Cash and Cash Equivalents                 
Other                 
Net Cash Used in Investing Activities                  
FINANCING ACTIVITIES                
Proceeds from Long Term Debt - ABL Line of Credit                  
Proceeds from Long Term Debt - Senior Notes                 
Proceeds from Long Term Debt - Term Loan                 
Principal Payments on Long Term Debt - ABL Line of Credit                  
Principal Payments on Long Term Debt - Senior Discount Notes                 
Principal Payments on Long Term Debt - Senior Notes                 
Principal Payments on Long Term Debt                  
Principal Payments on Long Term Debt - Term Loan                  
Debt Issuance Costs                  
Stock Options Exercised and Related Tax Benefits                  
Intercompany Borrowings (Payments)                  
Payment of Dividends             (1,711) (297,917)
Receipt of Dividends             1,711 297,917
Net Cash Used in Financing Activities                  
(Decrease)/Increase in Cash and Cash Equivalents                  
Cash and Cash Equivalents at Beginning of Period                    
Cash and Cash Equivalents at End of Period                    
BCFW [Member]
               
OPERATING ACTIVITIES                
Net Cash Provided by Operating Activities             255,010 325,478
INVESTING ACTIVITIES                
Cash Paid For Property and Equipment             (24,955) (36,588)
Proceeds Received from Sale of Property and Equipment                  
Lease Acquisition Costs                  
Increase in Restricted Cash and Cash Equivalents               (7,000)
Other               (1,064)
Net Cash Used in Investing Activities             (24,955) (44,652)
FINANCING ACTIVITIES                
Proceeds from Long Term Debt - ABL Line of Credit             404,500 687,800
Proceeds from Long Term Debt - Senior Notes               450,000
Proceeds from Long Term Debt - Term Loan             116,913 991,158
Principal Payments on Long Term Debt - ABL Line of Credit             (572,800) (698,300)
Principal Payments on Long Term Debt - Senior Discount Notes                 
Principal Payments on Long Term Debt - Senior Notes               (302,056)
Principal Payments on Long Term Debt                  
Principal Payments on Long Term Debt - Term Loan             (135,749) (790,050)
Debt Issuance Costs             (807) (29,255)
Stock Options Exercised and Related Tax Benefits             761 760
Intercompany Borrowings (Payments)             (25,687) (287,345)
Payment of Dividends             (1,711) (297,917)
Receipt of Dividends                  
Net Cash Used in Financing Activities             (214,580) (275,205)
(Decrease)/Increase in Cash and Cash Equivalents             15,475 5,621
Cash and Cash Equivalents at Beginning of Period     11,522     7,168 11,522 7,168
Cash and Cash Equivalents at End of Period 26,998     12,789     26,998 12,789
Guarantors [Member]
               
OPERATING ACTIVITIES                
Net Cash Provided by Operating Activities             58,186 (100,296)
INVESTING ACTIVITIES                
Cash Paid For Property and Equipment             (104,299) (79,658)
Proceeds Received from Sale of Property and Equipment             407 663
Lease Acquisition Costs             (430) (557)
Increase in Restricted Cash and Cash Equivalents               2,442
Other                 
Net Cash Used in Investing Activities             (104,322) (77,110)
FINANCING ACTIVITIES                
Proceeds from Long Term Debt - ABL Line of Credit                  
Proceeds from Long Term Debt - Senior Notes                 
Proceeds from Long Term Debt - Term Loan                 
Principal Payments on Long Term Debt - ABL Line of Credit                  
Principal Payments on Long Term Debt - Senior Discount Notes               (99,309)
Principal Payments on Long Term Debt - Senior Notes                 
Principal Payments on Long Term Debt             (521) (622)
Principal Payments on Long Term Debt - Term Loan                  
Debt Issuance Costs                  
Stock Options Exercised and Related Tax Benefits                  
Intercompany Borrowings (Payments)             25,687 287,345
Payment of Dividends                  
Receipt of Dividends                  
Net Cash Used in Financing Activities             25,166 187,414
(Decrease)/Increase in Cash and Cash Equivalents             (20,970) 10,008
Cash and Cash Equivalents at Beginning of Period     24,142     23,046 24,142 23,046
Cash and Cash Equivalents at End of Period 3,171     33,054     3,171 33,054
Eliminations [Member]
               
OPERATING ACTIVITIES                
Net Cash Provided by Operating Activities                  
INVESTING ACTIVITIES                
Cash Paid For Property and Equipment                  
Proceeds Received from Sale of Property and Equipment                  
Lease Acquisition Costs                  
Increase in Restricted Cash and Cash Equivalents                 
Other                 
Net Cash Used in Investing Activities                  
FINANCING ACTIVITIES                
Proceeds from Long Term Debt - ABL Line of Credit                  
Proceeds from Long Term Debt - Senior Notes                 
Proceeds from Long Term Debt - Term Loan                 
Principal Payments on Long Term Debt - ABL Line of Credit                  
Principal Payments on Long Term Debt - Senior Discount Notes                 
Principal Payments on Long Term Debt - Senior Notes                 
Principal Payments on Long Term Debt                  
Principal Payments on Long Term Debt - Term Loan                  
Debt Issuance Costs                  
Stock Options Exercised and Related Tax Benefits                  
Intercompany Borrowings (Payments)                  
Payment of Dividends             1,711 297,917
Receipt of Dividends             (1,711) (297,917)
Net Cash Used in Financing Activities                  
(Decrease)/Increase in Cash and Cash Equivalents                  
Cash and Cash Equivalents at Beginning of Period                    
Cash and Cash Equivalents at End of Period                    
XML 39 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (Unaudited) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Current Assets:      
Cash and Cash Equivalents $ 30,169 $ 35,664 $ 45,843
Restricted Cash and Cash Equivalents 34,800 34,800 34,822
Accounts Receivable, Net of Allowances for Doubtful Accounts 43,638 40,119 41,946
Merchandise Inventories 844,991 682,260 945,719
Deferred Tax Assets 16,283 23,243 25,991
Prepaid and Other Current Assets 46,173 40,062 43,196
Prepaid Income Taxes 31,961 21,319 49,274
Assets Held for Sale 483 521 521
Total Current Assets 1,048,498 877,988 1,187,312
Property and Equipment - Net of Accumulated Depreciation 893,690 865,215 881,442
Tradenames 238,000 238,000 238,000
Favorable Leases - Net of Accumulated Amortization 338,443 359,903 367,493
Goodwill 47,064 47,064 47,064
Other Assets 114,307 112,973 90,258
Total Assets 2,680,002 2,501,143 2,811,569
Current Liabilities:      
Accounts Payable 678,092 276,285 650,152
Other Current Liabilities 252,916 221,343 239,845
Current Maturities of Long Term Debt 5,515 7,659 5,728
Total Current Liabilities 936,523 505,287 895,725
Long Term Debt 1,422,571 1,605,464 1,605,238
Other Liabilities 217,313 224,352 208,404
Deferred Tax Liabilities 254,082 276,985 273,109
Commitments and Contingencies (Notes 3, 4, 10 and 11)         
Stockholder's Deficit:      
Common Stock (Par Value $0.01; 1,000 Shares Issued and Outstanding)         
Capital in Excess of Par Value 477,298 474,569 472,431
Accumulated Deficit (627,785) (585,514) (643,338)
Total Stockholder's Deficit (150,487) (110,945) (170,907)
Total Liabilities and Stockholder's Deficit $ 2,680,002 $ 2,501,143 $ 2,811,569
XML 40 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details 5) (USD $)
9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan    
Expected Volatility 35.00% 30.30%
Expected Life (years) 6 years 7 months 6 days  
Contractual Life (years) 10 years 10 years
Expected Dividend Yield 0.00% 0.00%
Minimum [Member]
   
Fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan    
Risk-Free Interest Rate 1.00% 2.40%
Expected Life (years)   6 years 4 months 24 days
Maximum [Member]
   
Fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan    
Risk-Free Interest Rate 1.30% 3.40%
Expected Life (years)   8 years 6 months
30.60 [Member] | Weighted average of option at exercise price one [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 30.60  
50.00 [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 28.14 26.75
50.00 [Member] | Weighted average of option at exercise price two [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 50.00  
65.00 [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 47.42  
65.00 [Member] | Weighted average of option at exercise price three [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 65.00  
120.00 [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 30.57 17.67
120.00 [Member] | Weighted average of option at exercise price four [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 120.00  
120.60 [Member] | Weighted average of option at exercise price five [Member]
   
Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:    
Weighted Average Grant Date Fair Value of Options Issued at an exercise price 120.60  
XML 41 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies
9 Months Ended
Oct. 27, 2012
Summary of Significant Accounting Policies [Abstract]  
Summary of Significant Accounting Policies

1. Summary of Significant Accounting Policies

Basis of Presentation

These unaudited Condensed Consolidated Financial Statements include the accounts of Burlington Coat Factory Investments Holdings, Inc. and all of its subsidiaries (Company or Holdings). Holdings has no operations and its only asset is all of the stock of Burlington Coat Factory Warehouse Corporation. All discussions of operations in this report relate to Burlington Coat Factory Warehouse Corporation and its subsidiaries (BCFWC), which are reflected in the financial statements of Holdings. The Condensed Consolidated Financial Statements are unaudited, but in the opinion of management reflect all adjustments (which are of a normal and recurring nature) necessary for the fair presentation of the results of operations for the interim periods presented. Certain information and note disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) have been condensed or omitted. It is suggested that these Condensed Consolidated Financial Statements be read in conjunction with the financial statements and notes thereto included in the Company’s Annual Report on Form 10-K for the fiscal year ended January 28, 2012 (Fiscal 2011 10-K). The balance sheet at January 28, 2012 presented herein has been derived from the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K. Because the Company’s business is seasonal in nature, the operating results for the three and nine month periods ended October 27, 2012 are not necessarily indicative of results for the fiscal year ending February 2, 2013 (Fiscal 2012).

Accounting policies followed by the Company are described in Note 1 to the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K.

In July 2012, the FASB issued Accounting Standards Update No. 2012-02, “Intangibles — Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” (ASU 2012-02). In accordance with ASU 2012-02, an entity has the option to first assess qualitative factors to determine whether it is more likely than not that the fair value of an indefinite-lived intangible asset is less than its carrying value. If the entity determines that it is more likely than not that the fair value of the indefinite-lived intangible asset is less than the carrying value, the entity will be required to perform the quantitative impairment test. ASU 2012-02 is effective for annual and interim impairment tests performed for fiscal years beginning after September 15, 2012. However, early adoption is permitted. The Company has elected not to early adopt in the current fiscal year and does not expect ASU 2012-02, once adopted, to have a material impact on the Company’s financial position or results of operations.

There were no new accounting standards that had a material impact on the Company’s Condensed Consolidated Financial Statements during the nine month period ended October 27, 2012 and there were no new accounting standards or pronouncements that were issued but not yet effective as of October 27, 2012 that the Company expects to have a material impact on its financial position or results of operations upon becoming effective.

 

XML 42 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details Textual) (USD $)
12 Months Ended 9 Months Ended 12 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 27, 2012
Maximum [Member]
Oct. 27, 2012
Interest rate cap agreements [Member]
Oct. 27, 2012
Level 3 [Member]
Oct. 27, 2012
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 [Member]
Oct. 27, 2012
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 [Member]
Floor Rate [Member]
Oct. 27, 2012
$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016 [Member]
Oct. 27, 2012
$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019 [Member]
Fair Value Measurements (Textual) [Abstract]                
Debt instrument amount         $ 1,000,000   $ 600,000 $ 450,000
Periodic payment amount         2,400      
Debt instrument stated rate         4.80% 1.50%   10.00%
Credit valuation adjustments     100,000          
Change in fair value of note receivable partial payment       500,000        
Borrowings increments number of days   30 days            
Fair Value Measurement (Additional Textual) [Abstract]                
Partially offset by unrealized gains 200,000              
Fair value of debt exclusive of capital leases 1,462,700,000              
Carrying value of debt exclusive of capital leases $ 1,404,600,000              
XML 43 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Tables)
9 Months Ended
Oct. 27, 2012
Fair Value Measurements [Abstract]  
Financial assets and the hierarchy of the level of inputs

The fair values of the Company’s financial assets and the hierarchy of the level of inputs are summarized below:

 

                         
    (in thousands)  
    Fair Value Measurements at  
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

Assets:

                       

Level 1

                       

Cash equivalents (including restricted cash)

  $ 34,959     $ 34,915     $ 34,924  

Level 2

                       

Interest rate cap agreements (a)

  $ 95     $ 114     $ 924  

Level 3

                       

Note Receivable (b)

  $ 758     $ 763     $ 1,099  

 

  (a) Included in “Other Assets” within the Company’s Condensed Consolidated Balance Sheets (refer to Note 6 of the Company’s Condensed Consolidated Financial Statements, entitled “Derivative Instruments and Hedging Activities,” for further discussion regarding the Company’s interest rate cap agreements).
  (b) Included in “Prepaid and Other Current Assets” and “Other Assets” on the Company’s Consolidated Balance Sheets. The change in fair value of the Company’s Level 3 note receivable from January 28, 2012 to October 27, 2012 is related to unrealized losses. The change in fair value of the Company’s Level 3 note receivable from October 29, 2011 to October 27, 2012 is related to the Company receiving a partial payment in the amount of $0.5 million, which was partially offset by unrealized gains in the amount of $0.2 million.
Fair value of debt

The fair value of the Company’s debt as of October 27, 2012, January 28, 2012 and October 29, 2011 is noted in the table below:

 

                                                 
    (in thousands)  
    October 27, 2012     January 28, 2012     October 29, 2011  
    Carrying
Amount
(c)
    Fair
Value (c)
    Carrying
Amount
(c)
    Fair
Value (c)
    Carrying
Amount
(c)
    Fair
Value (c)
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

  $ 932,907     $ 943,791     $ 949,123     $ 945,247     $ 978,658     $ 955,823  

$450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

    450,000       497,250       450,000       432,000       450,000       442,125  

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016. (a)

    21,700       21,700       190,000       190,000       158,100       158,100  

Other debt (b)

    —         —         —         —         66       66  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total debt

  $ 1,404,607     $ 1,462,741     $ 1,589,123     $ 1,567,247     $ 1,586,824     $ 1,556,114  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) The carrying value of the ABL Line of Credit approximates its fair value due to its short term nature (borrowings are typically done in increments of 30 days or less) and its variable interest rate.

 

(b) Other debt includes the industrial revenue bonds and both promissory notes, as described in the Fiscal 2011 10-K.
(c) Capital lease obligations are excluded from the table above.
XML 44 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities (Details) (Not Designated as Hedging Instrument [Member], Interest rate cap agreements [Member], USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Other Assets [Member]
Jan. 28, 2012
Other Assets [Member]
Oct. 29, 2011
Other Assets [Member]
Oct. 27, 2012
Other Liabilities [Member]
Jan. 28, 2012
Other Liabilities [Member]
Oct. 29, 2011
Other Liabilities [Member]
Oct. 27, 2012
Interest Expenses [Member]
Oct. 29, 2011
Interest Expenses [Member]
Oct. 27, 2012
Interest Expenses [Member]
Oct. 29, 2011
Interest Expenses [Member]
Derivative, Fair Value, Net                    
Assets Derivative $ 95 $ 114 $ 924              
Derivative Liability, Fair Value, Net                    
Liability Derivatives                       
Derivative Instruments, Gain (Loss) Recognized in Income, Net                    
Amount of (Gain) Loss Recognized in Income on Derivative             $ 85 $ 493 $ 19 $ 2,355
XML 45 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Tables)
9 Months Ended
Oct. 27, 2012
Income Taxes [Abstract]  
Income Taxes
                         
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

Current Deferred Tax Asset

  $ 16,283     $ 23,243     $ 25,991  

Non-Current Deferred Tax Liability

    254,082       276,985       273,109  
   

 

 

   

 

 

   

 

 

 

Net Deferred Tax Liability

  $ 237,799     $ 253,742     $ 247,118  
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XML 47 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholder's Deficit
9 Months Ended
Oct. 27, 2012
Stockholder's Deficit [Abstract]  
Stockholder's Deficit

2. Stockholder’s Deficit

Activity for the three and nine month periods ended October 27, 2012 and October 29, 2011 in the Company’s common stock, capital in excess of par value, accumulated deficit, and total stockholder’s deficit are summarized below:

 

                                 
    (in thousands)  
    Common
Stock
    Capital in
Excess of Par
Value
    Accumulated
Deficit
    Total  

Balance at January 28, 2012

  $ —       $ 474,569     $ (585,514   $ (110,945

Net Loss

    —         —         (3,940     (3,940

Stock Options Exercised and Related Tax Benefits

            394       —         394  

Stock Based Compensation

    —         791       —         791  

Dividends (b)

    —         —         373       373  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at April 28, 2012

    —         475,754       (589,081     (113,327
   

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

    —         —         (31,257     (31,257

Stock Options Exercised and Related Tax Benefits

    —         267       —         267  

Stock Based Compensation

    —         612       —         612  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at July 28, 2012

    —         476,633       (620,338     (143,705

Net Loss

    —                 (7,447     (7,447

Stock Options Exercised and Related Tax Benefits

    —         100       —         100  

Stock Based Compensation

    —         565       —         565  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at October 27, 2012

  $ —       $ 477,298     $ (627,785   $ (150,487
         

Balance at January 29, 2011

  $ —       $ 466,754     $ (279,242   $ 187,512  

Net Loss

    —         —         (21,056     (21,056

Excess Tax Benefit from Stock Based Compensation

            448       —         448  

Stock Option Expense

    —         705       —         705  

Dividends (a)

    —         —         (300,000     (300,000
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at April 30, 2011

    —         467,907       (600,298     (132,391
   

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

    —         —         (32,763     (32,763

Stock Options Exercised and Related Tax Benefits

            310       —         310  

Stock Based Compensation

    —         195       —         195  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at July 30, 2011

    —         468,412       (633,061     (164,649

Net Loss

    —                 (10,277     (10,277

Stock Options Exercised and Related Tax Benefits

            2       —         2  

Stock Based Compensation

    —         4,017       —         4,017  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at October 29, 2011

  $ —       $ 472,431     $ (643,338   $ (170,907

 

(a) Represents dividends payable to the stockholders of Burlington Coat Factory Holdings, Inc. (Parent) in conjunction with the Company’s February 2011 debt refinancing, of which $297.9 million was paid as of April 30, 2011 and $1.7 million was paid as of April 28, 2012. Less than $0.1 million was paid during the three months ended July 28, 2012.

 

(b) As a result of certain forfeitures of Parent’s restricted stock prior to the payment date, $0.4 million of dividend payments were forfeited and reverted back to the Company.

 

XML 48 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (Parenthetical) (Unaudited) (USD $)
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Condensed Consolidated Balance Sheets [Abstract]      
Common Stock, Par Value $ 0.01 $ 0.01 $ 0.01
Common Stock, Shares Issued 1,000 1,000 1,000
Common Stock, Shares Outstanding 1,000 1,000 1,000
XML 49 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Guarantor Data
9 Months Ended
Oct. 27, 2012
Condensed Guarantor Data [Abstract]  
Condensed Guarantor Data

12. Condensed Guarantor Data

Holdings and subsidiaries of BCFWC have fully, jointly, severally, and unconditionally guaranteed BCF’s obligations under the ABL Line of Credit, Term Loan Facility and the Senior Note. The following condensed consolidating financial statements present the financial position, results of operations and cash flows of Holdings, BCFW and the guarantor subsidiaries. The Company has one immaterial non-guarantor subsidiary that is not wholly-owned and is considered to be “minor” as that term is defined in Rule 3-10 of Regulation S-X promulgated by the Securities and Exchange Commission.

Neither the Company nor any of its subsidiaries may declare or pay cash dividends or make other distributions of property to any affiliate unless such dividends are used for certain specified purposes including, among others, to pay general corporate and overhead expenses incurred by Holdings in the ordinary course of business, or the amount of any indemnification claims made by any director or officer of Holdings or the Company, or to pay taxes that are due and payable by Holdings or any of its direct or indirect subsidiaries.

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

                                         
    As of October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 26,998     $ 3,171     $ —       $ 30,169  

Restricted Cash and Cash Equivalents

    —         34,800       —         —         34,800  

Accounts Receivable

    —         33,550       10,088       —         43,638  

Merchandise Inventories

    —         —         844,991       —         844,991  

Deferred Tax Asset

    —         8,497       7,786       —         16,283  

Prepaid and Other Current Assets

    —         14,760       31,413       —         46,173  

Prepaid Income Tax

    —         28,909       3,052       —         31,961  

Intercompany Receivable

    —         —         445,568       (445,568     —    

Assets Held for Sale

    —         —         483       —         483  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         147,514       1,346,552       (445,568     1,048,498  

Property and Equipment - Net of Accumulated Depreciation

    —         77,361       816,329       —         893,690  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases - Net of Accumulation Amortization

    —         —         338,443       —         338,443  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         2,095,171       —         (2,095,171     —    

Other Assets

    —         26,422       87,885       —         114,307  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —         2,631,532       2,589,209       (2,540,739     2,680,002  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —         678,092       —         —         678,092  

Other Current Liabilities

    —         122,032       130,884       —         252,916  

Intercompany Payable

    —         445,568       —         (445,568     —    

Current Maturities of Long Term Debt

    —         4,753       762       —         5,515  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         1,250,445       131,646       (445,568     936,523  

Long Term Debt

    —         1,399,854       22,717       —         1,422,571  

Other Liabilities

    —         48,624       168,689       —         217,313  

Deferred Tax Liability

    —         83,096       170,986       —         254,082  

Investment in Subsidiaries

    150,487       —         —         (150,487     —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    477,298       477,298       1,063,182       (1,540,480     477,298  

(Accumulated Deficit) Retained Earnings

    (627,785     (627,785     1,031,989       (404,204     (627,785
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (150,487     (150,487     2,095,171       (1,944,684     (150,487
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

  $ —         2,631,532       2,589,209       (2,540,739     2,680,002  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Consolidated Balance Sheets

(All amounts in thousands)

 

                                         
    As of January 28, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 11,522     $ 24,142     $ —       $ 35,664  

Restricted Cash and Cash Equivalents

    —         34,800       —         —         34,800  

Accounts Receivable

    —         21,037       19,082       —         40,119  

Merchandise Inventories

    —         —         682,260       —         682,260  

Deferred Tax Assets

    —         10,008       13,235       —         23,243  

Prepaid and Other Current Assets

    —         13,628       26,434       —         40,062  

Prepaid Income Taxes

    —         18,964       2,355       —         21,319  

Intercompany Receivable

    —         —         471,255       (471,255     —    

Assets Held for Disposal

    —         —         521       —         521  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         109,959       1,239,284       (471,255     877,988  

Property and Equipment—Net of Accumulated Depreciation

    —         80,220       784,995       —         865,215  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases—Net of Accumulated Amortization

    —         —         359,903       —         359,903  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         1,995,796       —         (1,995,796     —    

Other Assets

    —         31,696       81,277       —         112,973  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —       $ 2,502,735     $ 2,465,459     $ (2,467,051   $ 2,501,143  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —       $ 276,285     $ —       $ —       $ 276,285  

Other Current Liabilities

    —         134,874       86,469       —         221,343  

Intercompany Payable

    —         471,255       —         (471,255     —    

Current Maturities of Long Term Debt

    —         6,953       706       —         7,659  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         889,367       87,175       (471,255     505,287  

Long Term Debt

    —         1,582,169       23,295       —         1,605,464  

Other Liabilities

    —         56,909       167,443       —         224,352  

Deferred Tax Liability

    —         85,235       191,750       —         276,985  

Investment in Subsidiaries

    110,945       —         —         (110,945     —    

Commitments and Contingencies

    —         —         —         —         —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    474,569       474,569       1,063,180       (1,537,749     474,569  

(Accumulated Deficit) Retained Earnings

    (585,514     (585,514     932,616       (347,102     (585,514
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (110,945     (110,945     1,995,796       (1,884,851     (110,945
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s Equity (Deficit)

  $ —       $ 2,502,735     $ 2,465,459     $ (2,467,051   $ 2,501,143  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

                                         
    As of October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 12,789     $ 33,054     $ —       $ 45,843  

Restricted Cash and Cash Equivalents

    —         34,800       22       —         34,822  

Accounts Receivable

    —         30,520       11,426       —         41,946  

Merchandise Inventories

    —         —         945,719       —         945,719  

Deferred Tax Asset

    —         7,421       18,570       —         25,991  

Prepaid and Other Current Assets

    —         15,047       28,149       —         43,196  

Income Tax Receivable

    —         45,973       3,301       —         49,274  

Intercompany Receivable

    —         —         92,440       (92,440     —    

Assets Held for Sale

    —         —         521       —         521  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         146,550       1,133,202       (92,440     1,187,312  

Property and Equipment – Net of Accumulated Depreciation

    —         79,979       801,463       —         881,442  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases – Net of Accumulation Amortization

    —         —         367,493       —         367,493  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         1,876,968       —         (1,876,968     —    

Other Assets

    —         33,627       56,631               90,258  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —       $ 2,422,188     $ 2,358,789     $ (1,969,408   $ 2,811,569  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —       $ 650,079     $ 73     $ —       $ 650,152  

Other Current Liabilities

    —         127,899       111,946       —         239,845  

Intercompany Payable

    —         92,440       —         (92,440        

Current Maturities of Long Term Debt

    —         5,000       728               5,728  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         875,418       112,747       (92,440     895,725  

Long Term Debt

    —         1,581,759       23,479       —         1,605,238  

Other Liabilities

    —         48,495       159,909       —         208,404  

Deferred Tax Liability

    —         87,423       185,686       —         273,109  

Investment in Subsidiaries

    170,907       —         —         (170,907     —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    472,431       472,431       1,063,182       (1,535,613     472,431  

(Accumulated Deficit) Retained Earnings

    (643,338     (643,338     813,786       (170,448     (643,338
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (170,907     (170,907     1,876,968       (1,706,061     (170,907
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

  $ —       $ 2,422,188     $ 2,358,789     $ (1,969,408   $ 2,811,569  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 2,814,497     $ —       $ 2,814,497  

Other Revenue

    —         175       22,876       —         23,051  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         175       2,837,373       —         2,837,548  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         1,757,823       —         1,757,823  

Selling and Administrative Expenses

    —         143,942       804,490       —         948,432  

Restructuring and Separation Costs

    —         1,783       658       —         2,441  

Depreciation and Amortization

    —         19,526       101,222       —         120,748  

Impairment Charges – Long-Lived Assets

    —         —         1,100       —         1,100  

Other Income, Net

    —         (3,022     (3,308     —         (6,330

Loss on Extinguishment of Debt

            3,413       —         —         3,413  

Interest Expense

    —         83,001       1,528       —         84,529  

Loss (Earnings) from Equity Investment

    42,644       (99,375     —         56,731       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    42,644       149,268       2,663,513       56,731       2,912,156  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (42,644     (149,093     173,860       (56,731     (74,608

(Benefit) Provision for Income Taxes

    —         (106,449     74,485       —         (31,964
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (42,644   $ (42,644   $ 99,375     $ (56,731   $ (42,644
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (42,644   $ (42,644   $ 99,375     $ (56,731   $ (42,644
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                         
    For the Three Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 967,894     $ —       $ 967,894  

Other Revenue

    —         97       7,861       —         7,958  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         97       975,755       —         975,852  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         594,389       —         594,389  

Selling and Administrative Expenses

    —         45,903       289,203       —         335,106  

Restructuring and Separation Costs

    —         413       222       —         635  

Depreciation and Amortization

    —         6,290       34,554       —         40,844  

Impairment Charges – Long-Lived Assets

    —         —         1,021       —         1,021  

Other Income, Net

    —         (942     (971     —         (1,913
                                         

Interest Expense

    —         26,921       500       —         27,421  

Loss (Earnings) from Equity Investment

    7,447       (21,598     —         14,151       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    7,447       56,987       918,918       14,151       997,503  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (7,447     (56,890     56,837       (14,151     (21,651

(Benefit) Provision for Income Taxes

    —         (49,443     35,239       —         (14,204
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (7,447   $ (7,447   $ 21,598     $ (14,151   $ (7,447
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (7,447   $ (7,447   $ 21,598     $ (14,151   $ (7,447
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                         
    For the Nine Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 2,621,094     $ —       $ 2,621,094  

Other Revenue

    —         294       22,189       —         22,483  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         294       2,643,283       —         2,643,577  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         1,625,163       —         1,625,163  

Selling and Administrative Expenses

    —         129,272       753,396       —         882,668  

Restructuring and Separation Costs

    —         3,025       2,596       —         5,621  

Depreciation and Amortization

    —         17,070       96,104       —         113,174  

Impairment Charges – Long-Lived Assets

    —         —         34       —         34  

Other Income, Net

    —         (4,285     (2,730     —         (7,015

Loss on Extinguishment of Debt

            36,042       1,722       —         37,764  

Interest Expense

    —         95,352       2,624       —         97,976  

Loss (Earnings) from Equity Investment

    64,096       (94,231     —         30,135       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    64,096       182,245       2,478,909       30,135       2,755,385  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (64,096     (181,951     164,374       (30,135     (111,808

(Benefit) Provision for Income Taxes

    —         (117,855     70,143       —         (47,712
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (64,096   $ (64,096   $ 94,231     $ (30,135   $ (64,096
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (64,096   $ (64,096   $ 94,231     $ (30,135   $ (64,096
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

                                         
    For the Three Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 898,663     $ —       $ 898,663  

Other Revenue

    —         114       8,026       —         8,140  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         114       906,689       —         906,803  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         540,807       —         540,807  

Selling and Administrative Expenses

    —         46,597       270,537       —         317,134  

Restructuring and Separation Costs

    —         (895     1,326       —         431  

Depreciation and Amortization

    —         6,482       32,706       —         39,188  

Other Income, Net

    —         (1,268     (629     —         (1,897

Interest Expense

    —         34,293       519       —         34,812  

Loss (Earnings) from Equity Investment

    10,277       (31,361     —         21,084       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    10,277       53,848       845,266       21,084       930,475  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (10,277     (53,734     61,423       (21,084     (23,672

(Benefit) Provision for Income Taxes

    —         (43,457     30,062       —         (13,395
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (10,277   $ (10,277   $ 31,361     $ (21,084   $ (10,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (10,277   $ (10,277   $ 31,361     $ (21,084   $ (10,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

                                       

Net Cash Provided by Operating Activities

  $ —       $ 255,010     $ 58,186     $ —       $ 313,196  

INVESTING ACTIVITIES

                                       

Cash Paid For Property and Equipment

    —         (24,955     (104,299     —         (129,254

Proceeds Received from Sale of Fixed Assets

    —         —         407       —         407  

Lease Rights Acquired

    —         —         (430     —         (430
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

    —         (24,955     (104,322     —         (129,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

                                       

Proceeds from Long Term Debt – ABL Line of Credit

    —         404,500       —         —         404,500  

Proceeds from Long Term Debt – Term Loan

    —         116,913       —         —         116,913  

Principal Payments on Long Term Debt – ABL Line of Credit

    —         (572,800     —         —         (572,800

Principal Payments on Long Term Debt

    —         —         (521     —         (521

Principal Payments on Long Term Debt – Term Loan

    —         (135,749     -       —         (135,749

Debt Issuance Cost

    —         (807     -       —         (807

Stock Option Exercise and Related Tax Benefits

    —         761       -       —         761  

Intercompany Borrowings (Payments)

    —         (25,687     25,687               —    

Payment of Dividends

    (1,711     (1,711     —         1,711       (1,711

Receipt of Dividends

    1,711       —         —         (1,711     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

    —         (214,580     25,166       —         (189,414

Increase in Cash and Cash Equivalents

    —         15,475       (20,970     —         (5,495

Cash and Cash Equivalents at Beginning of Period

    —         11,523       24,141       —         35,664  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

  $ —       $ 26,998     $ 3,171     $ —       $ 30,169  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

                                       

Net Cash Provided by Operating Activities

  $ —       $ 325,478     $ (100,296   $ —       $ 225,182  

INVESTING ACTIVITIES

                                       

Cash Paid For Property and Equipment

    —         (36,588     (79,658     —         (116,246

Proceeds Received from Sale of Fixed Assets

    —         —         663       —         663  

Lease Rights Acquired

    —         —         (557     —         (557

Change in Restricted Cash and Cash Equivalents

    —         (7000     2,442       —         (4,558

Investing Activity – Other

    —         (1,064     —         —         (1,064
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

    —         (44,652     (77,110     —         (121,762
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

                                       

Proceeds from Long Term Debt – ABL Line of Credit

    —         687,800       —         —         687,800  

Proceeds from Long Term Debt – Notes Payable

    —         450,000       —         —         450,000  

Proceeds from Long Term Debt – Term Loan

    —         991,158       —         —         991,158  

Principal Payments on Long Term Debt – ABL Line of Credit

    —         (698,300     —         —         (698,300

Principal Payments on Long Term Debt – Senior Discount Notes

    —         —         (99,309     —         (99,309

Principal Payments on Long Term Debt – Senior Notes

    —         (302,056     —         —         (302,056

Principal Payments on Long Term Debt

    —         —         (622     —         (622

Principal Payments on Long Term Debt – Term Loan

    —         (790,050     —         —         (790,050

Debt Issuance Cost

    —         (29,255     —         —         (29,255

Stock Option Exercise and Related Tax Benefits

    —         760       —         —         760  

Intercompany Borrowings (Payments)

    —         (287,345     287,345       —         —    

Payment of Dividends

    (297,917     (297,917     —         297,917       (297,917

Receipt of Dividends

    297,917       —         —         (297,917     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

    —         (275,205     187,414       —         (87,791

Increase in Cash and Cash Equivalents

    —         5,621       10,008       —         15,629  

Cash and Cash Equivalents at Beginning of Period

    —         7,168       23,046       —         30,214  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

  $ —       $ 12,789     $ 33,054     $ —       $ 45,843  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 50 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
9 Months Ended
Oct. 27, 2012
Dec. 11, 2012
Document and Entity Information [Abstract]    
Entity Registrant Name Burlington Coat Factory Investments Holdings, Inc.  
Entity Central Index Key 0001368775  
Document Type 10-Q  
Document Period End Date Oct. 27, 2012  
Amendment Flag false  
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q3  
Current Fiscal Year End Date --02-02  
Entity Filer Category Non-accelerated Filer  
Entity Common Stock, Shares Outstanding   1,000
XML 51 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Policies)
9 Months Ended
Oct. 27, 2012
Summary of Significant Accounting Policies [Abstract]  
Basis of Presentation

Basis of Presentation

These unaudited Condensed Consolidated Financial Statements include the accounts of Burlington Coat Factory Investments Holdings, Inc. and all of its subsidiaries (Company or Holdings). Holdings has no operations and its only asset is all of the stock of Burlington Coat Factory Warehouse Corporation. All discussions of operations in this report relate to Burlington Coat Factory Warehouse Corporation and its subsidiaries (BCFWC), which are reflected in the financial statements of Holdings. The Condensed Consolidated Financial Statements are unaudited, but in the opinion of management reflect all adjustments (which are of a normal and recurring nature) necessary for the fair presentation of the results of operations for the interim periods presented. Certain information and note disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) have been condensed or omitted. It is suggested that these Condensed Consolidated Financial Statements be read in conjunction with the financial statements and notes thereto included in the Company’s Annual Report on Form 10-K for the fiscal year ended January 28, 2012 (Fiscal 2011 10-K). The balance sheet at January 28, 2012 presented herein has been derived from the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K. Because the Company’s business is seasonal in nature, the operating results for the three and nine month periods ended October 27, 2012 are not necessarily indicative of results for the fiscal year ending February 2, 2013 (Fiscal 2012).

Accounting policies followed by the Company are described in Note 1 to the audited Consolidated Financial Statements contained in the Fiscal 2011 10-K.

In July 2012, the FASB issued Accounting Standards Update No. 2012-02, “Intangibles — Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” (ASU 2012-02). In accordance with ASU 2012-02, an entity has the option to first assess qualitative factors to determine whether it is more likely than not that the fair value of an indefinite-lived intangible asset is less than its carrying value. If the entity determines that it is more likely than not that the fair value of the indefinite-lived intangible asset is less than the carrying value, the entity will be required to perform the quantitative impairment test. ASU 2012-02 is effective for annual and interim impairment tests performed for fiscal years beginning after September 15, 2012. However, early adoption is permitted. The Company has elected not to early adopt in the current fiscal year and does not expect ASU 2012-02, once adopted, to have a material impact on the Company’s financial position or results of operations.

There were no new accounting standards that had a material impact on the Company’s Condensed Consolidated Financial Statements during the nine month period ended October 27, 2012 and there were no new accounting standards or pronouncements that were issued but not yet effective as of October 27, 2012 that the Company expects to have a material impact on its financial position or results of operations upon becoming effective.

ASC Topic No. 470-50 Debt Modifications and Extinguishments

In accordance with ASC Topic No. 470-50, “Debt Modifications and Extinguishments” (Topic 470), the Company recognized a non-cash loss on the partial extinguishment of debt of $3.4 million, which was recorded in the line item “Loss on the Extinguishment of Debt” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012. In connection with the Amendment, the Company incurred fees of $3.1 million, primarily related to legal and placement fees, which were recorded in the line item “Selling and Administrative Expense” in the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss during the nine months ended October 27, 2012 related to the portion of the debt that was not extinguished.

XML 52 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Operations and Comprehensive Loss (Unaudited) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
Oct. 27, 2012
Oct. 29, 2011
REVENUES:        
Net Sales $ 967,894 $ 898,663 $ 2,814,497 $ 2,621,094
Other Revenue 7,958 8,140 23,051 22,483
Total Revenue 975,852 906,803 2,837,548 2,643,577
COSTS AND EXPENSES:        
Cost of Sales 594,389 540,807 1,757,823 1,625,163
Selling and Administrative Expenses 335,106 317,134 948,432 882,668
Restructuring and Separation Costs (Note 4) 635 431 2,441 5,621
Depreciation and Amortization 40,844 39,188 120,748 113,174
Impairment Charges - Long-Lived Assets 1,021    1,100 34
Other Income, Net (1,913) (1,897) (6,330) (7,015)
Loss on Extinguishment of Debt      3,413 37,764
Interest Expense (Inclusive of Gain (Loss) on Interest Rate Cap Agreements) 27,421 34,812 84,529 97,976
Total Costs and Expenses 997,503 930,475 2,912,156 2,755,385
Loss Before Income Tax Benefit (21,651) (23,672) (74,608) (111,808)
Income Tax Benefit (14,204) (13,395) (31,964) (47,712)
Net Loss (7,447) (10,277) (42,644) (64,096)
Total Comprehensive Loss $ (7,447) $ (10,277) $ (42,644) $ (64,096)
XML 53 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes
9 Months Ended
Oct. 27, 2012
Income Taxes [Abstract]  
Income Taxes

7. Income Taxes

 

                         
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

Current Deferred Tax Asset

  $ 16,283     $ 23,243     $ 25,991  

Non-Current Deferred Tax Liability

    254,082       276,985       273,109  
   

 

 

   

 

 

   

 

 

 

Net Deferred Tax Liability

  $ 237,799     $ 253,742     $ 247,118  

Current deferred tax assets consisted primarily of certain operating costs and inventory related costs not currently deductible for tax purposes. Non-current deferred tax liabilities primarily related to rent expense, intangible assets, and depreciation expense where the Company has a future obligation for tax purposes.

In accordance with ASC Topic No. 270, Interim Reporting (Topic No. 270) and ASC Topic No. 740, Income Taxes (Topic No. 740), at the end of each interim period the Company is required to determine the best estimate of its annual effective tax rate and then apply that rate in providing for income taxes on a current year-to-date (interim period) basis. As of October 27, 2012, the Company’s best estimate of its annual effective income tax rate was 38.1% (before discrete items).

As of October 27, 2012, January 28, 2012 and October 29, 2011, valuation allowances amounted to $6.1 million, $6.1 million and $5.8 million, respectively, primarily related to state tax net operating losses. The Company believes that it is more likely than not that a portion of the benefit of the state tax net operating losses will not be realized. The state net operating losses have been generated in a number of taxing jurisdictions and are subject to various expiration periods ranging from five to twenty years beginning with Fiscal 2012. During the three and nine months ended October 27, 2012, the Company’s unrecognized tax benefits were reduced by $7.5 million (including penalties and interest) upon the closing of ongoing state audits related to filing positions taken by the Company. As a result, the Company recognized a $5.0 million income tax benefit during the three and nine months ended October 27, 2012.

In addition, management also determined that a full valuation allowance of $1.2 million was required against the tax benefit associated with Puerto Rico alternative minimum tax credits as of both October 27, 2012 and January 28, 2012.

XML 54 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities
9 Months Ended
Oct. 27, 2012
Derivative Instruments and Hedging Activities [Abstract]  
Derivative Instruments and Hedging Activities

6. Derivative Instruments and Hedging Activities

The Company accounts for derivatives and hedging activities in accordance with ASC Topic No. 815 “Derivatives and Hedging” (Topic No. 815). Topic No. 815 provides disclosure requirements to provide users of financial statements with an enhanced understanding of: (i) How and why an entity uses derivative instruments; (ii) How derivative instruments and related hedged items are accounted for under Topic No. 815 and its related interpretations; and (iii) How derivative instruments and related hedged items affect an entity’s financial position, financial performance and cash flows.

The Company is exposed to certain risks relating to its ongoing business operations, including market risks relating to fluctuations in interest rates. The Company’s senior secured credit facilities contain floating rate obligations and are subject to interest rate fluctuations. The Company uses interest rate cap agreements, which are designated as economic hedges, to manage interest rate risk associated with the Company’s variable-rate borrowings and to minimize the negative impact of interest rate fluctuations on its earnings and cash flows, thus reducing the Company’s exposure to variability in expected future cash flows attributable to the changes in LIBOR rates.

Topic No. 815 requires recognition of all derivative instruments as either assets or liabilities at fair value in the statement of financial position. Interest rate cap agreements are recorded at a fair value and adjusted to market on a quarterly basis. Gains or losses associated with the interest rate cap agreements are recorded in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss and in the line item “Interest Rate Cap Contract – Adjustment to Market” on the Company’s Condensed Consolidated Statements of Cash Flows.

As of October 27, 2012, January 28, 2012 and October 29, 2011, the Company was party to two outstanding interest rate cap agreements to manage the interest rate risk associated with future interest payments on variable-rate debt.

 

 

                                                 
    (in thousands)  
    Fair Values of Derivative Instruments  
    Asset Derivatives  
    October 27, 2012     January 28, 2012     October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
 

Interest Rate Cap Agreements

    Other Assets     $ 95       Other Assets     $ 114       Other Assets     $ 924  
   
    Liability Derivatives  
    October 27, 2012     January 28, 2012     October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
 

Interest Rate Cap Agreements

    Other Liabilities     $ —         Other Liabilities     $ —         Other Liabilities     $ —    
   
    (Gain) or Loss on Derivative Instruments  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Location of (Gain)
Loss Recognized in
Income on  Derivatives
    Amount of (Gain) Loss Recognized in Income on
Derivatives
 
          Nine Months Ended     Three Months Ended  
          October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Interest Rate Cap Agreements

    Interest Expense     $ 19     $ 2,355     $ 85       $ 493  

 

The Company has two interest rate cap agreements each of which has a notional principal amount of $450 million, a cap rate of 7.0% and terminates on May 31, 2015. The Company has not elected hedge accounting treatment for its interest rate cap agreements. The Company adjusts these interest rate cap agreements to fair value on a quarterly basis and as a result, gains or losses associated with these agreements are included in the line item “Interest Expense” on the Company’s Condensed Consolidated Statements of Operations and Comprehensive Loss and in the line item “Interest Rate Cap Contract – Adjustment to Market” on the Company’s Condensed Consolidated Statements of Cash Flows.

XML 55 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities (Tables)
9 Months Ended
Oct. 27, 2012
Derivative Instruments and Hedging Activities [Abstract]  
Outstanding interest rate cap agreements to manage the interest rate risk associated with future interest payments on variable-rate debt
                                                 
    (in thousands)  
    Fair Values of Derivative Instruments  
    Asset Derivatives  
    October 27, 2012     January 28, 2012     October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
 

Interest Rate Cap Agreements

    Other Assets     $ 95       Other Assets     $ 114       Other Assets     $ 924  
   
    Liability Derivatives  
    October 27, 2012     January 28, 2012     October 29, 2011  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
    Balance
Sheet
Location
    Fair
Value
 

Interest Rate Cap Agreements

    Other Liabilities     $ —         Other Liabilities     $ —         Other Liabilities     $ —    
   
    (Gain) or Loss on Derivative Instruments  

Derivatives Not Designated as Hedging Instruments

Under Topic No. 815

  Location of (Gain)
Loss Recognized in
Income on  Derivatives
    Amount of (Gain) Loss Recognized in Income on
Derivatives
 
          Nine Months Ended     Three Months Ended  
          October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Interest Rate Cap Agreements

    Interest Expense     $ 19     $ 2,355     $ 85       $ 493  
XML 56 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholder's Deficit (Tables)
9 Months Ended
Oct. 27, 2012
Stockholder's Deficit [Abstract]  
Summary of common stock, capital in excess of par value, accumulated deficit, and total stockholder's deficit equity

Activity for the three and nine month periods ended October 27, 2012 and October 29, 2011 in the Company’s common stock, capital in excess of par value, accumulated deficit, and total stockholder’s deficit are summarized below:

 

                                 
    (in thousands)  
    Common
Stock
    Capital in
Excess of Par
Value
    Accumulated
Deficit
    Total  

Balance at January 28, 2012

  $ —       $ 474,569     $ (585,514   $ (110,945

Net Loss

    —         —         (3,940     (3,940

Stock Options Exercised and Related Tax Benefits

            394       —         394  

Stock Based Compensation

    —         791       —         791  

Dividends (b)

    —         —         373       373  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at April 28, 2012

    —         475,754       (589,081     (113,327
   

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

    —         —         (31,257     (31,257

Stock Options Exercised and Related Tax Benefits

    —         267       —         267  

Stock Based Compensation

    —         612       —         612  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at July 28, 2012

    —         476,633       (620,338     (143,705

Net Loss

    —                 (7,447     (7,447

Stock Options Exercised and Related Tax Benefits

    —         100       —         100  

Stock Based Compensation

    —         565       —         565  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at October 27, 2012

  $ —       $ 477,298     $ (627,785   $ (150,487
         

Balance at January 29, 2011

  $ —       $ 466,754     $ (279,242   $ 187,512  

Net Loss

    —         —         (21,056     (21,056

Excess Tax Benefit from Stock Based Compensation

            448       —         448  

Stock Option Expense

    —         705       —         705  

Dividends (a)

    —         —         (300,000     (300,000
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at April 30, 2011

    —         467,907       (600,298     (132,391
   

 

 

   

 

 

   

 

 

   

 

 

 

Net Loss

    —         —         (32,763     (32,763

Stock Options Exercised and Related Tax Benefits

            310       —         310  

Stock Based Compensation

    —         195       —         195  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at July 30, 2011

    —         468,412       (633,061     (164,649

Net Loss

    —                 (10,277     (10,277

Stock Options Exercised and Related Tax Benefits

            2       —         2  

Stock Based Compensation

    —         4,017       —         4,017  
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at October 29, 2011

  $ —       $ 472,431     $ (643,338   $ (170,907

 

(a) Represents dividends payable to the stockholders of Burlington Coat Factory Holdings, Inc. (Parent) in conjunction with the Company’s February 2011 debt refinancing, of which $297.9 million was paid as of April 30, 2011 and $1.7 million was paid as of April 28, 2012. Less than $0.1 million was paid during the three months ended July 28, 2012.

 

(b) As a result of certain forfeitures of Parent’s restricted stock prior to the payment date, $0.4 million of dividend payments were forfeited and reverted back to the Company.
XML 57 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
9 Months Ended
Oct. 27, 2012
Commitments and Contingencies [Abstract]  
Commitments and Contingencies

10. Commitments and Contingencies

Legal

The Company establishes reserves relating to legal claims, in connection with litigation to which the Company is party from time to time in the ordinary course of business. The aggregate amounts of such reserves were $1.0 million, $6.1 million and $3.9 million as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively. The Company believes that potential liabilities in excess of those recorded will not have a material effect on the Company’s Consolidated Financial Statements. However, there can be no assurances to this effect.

 

There have been no significant changes in the Company’s commitments and contingencies from those disclosed in the Fiscal 2011 10-K, except as noted below:

Lease Agreements

The Company enters into lease agreements during the ordinary course of business in order to secure favorable store locations. As of October 27, 2012, the Company was committed to four new lease agreements (inclusive of one relocation) for locations at which stores are expected to be opened during the remainder of Fiscal 2012. Inclusive of these new leases, the Company’s minimum lease payments for all operating leases are expected to be $64.6 million, $225.1 million, $211.1 million, $187.8 million and $799.8 million for the remainder of the fiscal year ended February 2, 2013, and the fiscal years ended February 1, 2014, January 31, 2015, January 30, 2016 and January 28, 2017 and all subsequent years thereafter, respectively.

Letters of Credit

The Company had letters of credit arrangements with various banks in the aggregate amount of $36.0 million and $40.5 million as of October 27, 2012 and October 29, 2011, respectively. Based on the terms of the credit agreement related to the ABL Line of Credit, the Company had the ability to enter into letters of credit up to $542.3 million and $401.3 million as of October 27, 2012 and October 29, 2011, respectively. Among these arrangements as of October 27, 2012 and October 29, 2011, the Company had letters of credit in the amount of $26.2 million and $30.7 million, respectively, guaranteeing performance under various insurance contracts and utility agreements. In addition, the Company had outstanding letters of credit agreements in the amount $9.8 million at both October 27, 2012 and October 29, 2011, related to certain merchandising agreements.

The Company had irrevocable letters of credit in the amount of $35.3 million as of January 28, 2012. Based on the terms of the credit agreement relating to the ABL Line of Credit, the Company had the ability to enter into letters of credit up to $242.6 million as of January 28, 2012. Letters of credit outstanding at January 28, 2012 amounted to $27.7 million, guaranteeing performance under various lease agreements, insurance contracts and utility agreements. The Company also had letters of credit in the amount of $7.6 million at January 28, 2012 related to certain merchandising agreements.

XML 58 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation
9 Months Ended
Oct. 27, 2012
Stock Option and Award Plans and Stock-Based Compensation [Abstract]  
Stock Option and Award Plans and Stock-Based Compensation

8. Stock Option and Award Plans and Stock-Based Compensation

On April 13, 2006, Parent’s Board of Directors adopted the 2006 Management Incentive Plan (the Plan). The Plan provides for the granting of service-based and performance-based stock options, restricted stock and other forms of awards to key employees and directors of the Company or its affiliates. Grants made pursuant to the Plan are comprised of units of Parent’s common stock. Each “unit” consists of nine shares of Parent’s Class A common stock and one share of Parent’s Class L common stock. The shares comprising a unit are in the same proportion as the shares of Class A and Class L common stock held by all stockholders of the Parent. Options granted pursuant to the Plan are exercisable only for whole units and cannot be separately exercised for the individual classes of Parent’s common stock. As of October 27, 2012, there were 730,478 units reserved under the Plan consisting of 6,574,302 shares of Parent’s Class A common stock and 730,478 shares of Parent’s Class L common stock.

Non-cash stock compensation expense for the three and nine months ended October 27, 2012 amounted to $0.6 million and $2.0 million, respectively. In comparison, non-cash stock compensation expense for the three and nine months end October 29, 2011 amounted to $4.0 million and $4.9 million, respectively. The table below summarizes the types of stock compensation:

 

                                 
    (in thousands)  
    Three Months Ended     Nine Months Ended  
    October 27,
2012
    October 29,
2011
    October 27,
2012
    October 29,
2011
 

Type of Non-Cash Stock Compensation

                               

Stock Option Compensation

  $ 590     $ 3,726     $ 1,507     $ 4,271  

Restricted Stock Compensation

    (25     291       461       646  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 565     $ 4,017     $ 1,968     $ 4,917  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

Stock Options

Options granted during the nine month periods ended October 27, 2012 and October 29, 2011 were all service-based awards and were granted at exercise prices of (i) $90 per unit and $180 per unit prior to May 1, 2011, (ii) $50 per unit and $120 per unit from May 1, 2011 through May 17, 2012, and (iii) $65 per unit and $120 per unit from and after May 17, 2012.

In April 2011, the Parent’s Board of Directors, in order to reflect the dividends paid in connection with the debt refinancing, approved a reduction of the exercise prices of each then outstanding option from $90 per unit and $180 per unit, respectively, to $30.60 and $120.60 per unit, respectively, without affecting the existing vesting schedules thereof. Upon application of modification accounting, which contemplates fair value of awards both before and after the debt refinancing and related dividends, the stock compensation cost did not change.

All of the service-based awards granted during the nine month period ended October 27, 2012 and October 29, 2011 vest 40% on the second anniversary of the award with the remaining amount vesting ratably over the subsequent three years. The final exercise date for any option granted is the tenth anniversary of the grant date.

All options awarded pursuant to the Plan become exercisable upon a change of control. Unless determined otherwise by the plan administrator and except as otherwise set forth in the option holders’ stock agreement, upon cessation of employment, (1) options that have not vested will terminate immediately; (2) units previously issued upon the exercise of vested options will be callable at the Company’s option; and (3) unexercised vested options will be exercisable for a period of 60 days.

As of October 27, 2012, the Company had 479,672 options outstanding to purchase units, all of which are service-based awards. The Company accounts for awards issued under the Plan in accordance with ASC Topic No. 718, “Stock Compensation.” For the three and nine months ended October 27, 2012, the Company recognized non-cash stock option compensation expense of $0.6 million ($0.4 million after tax) and $1.5 million ($0.9 million after tax), respectively, net of less than a $0.1 million and a $0.2 million forfeiture adjustment. These forfeiture adjustments were the result of actual forfeitures being higher than initially estimated. For the three and nine months ended October 29, 2011, the Company recognized non-cash stock option compensation expense of $3.7 million ($1.6 million after tax) and $4.3 million ($2.5 million after tax), respectively, net of a respective $3.2 million and $2.5 million forfeiture adjustment that was recorded as a result of actual forfeitures being higher than initially estimated.

As of October 27, 2012 there was approximately $4.1 million of unearned non-cash stock-based option compensation that the Company expected to recognize as expense over the next 5.0 years. The service-based awards are expensed on a straight-line basis over the requisite service period of five years. As of October 27, 2012, 44.4% percent of outstanding options to purchase units had vested.

Stock option transactions during the nine month period ended October 27, 2012 are summarized as follows:

 

                 
    Number of
Units
    Weighted
Average
Exercise
Price Per
Unit
 

Options Outstanding January 28, 2012

    472,673     $ 69.86  

Options Granted

    47,000       83.12  

Options Forfeited

    (24,768     (72.31

Options Exercised

    (15,233     (30.60
   

 

 

   

 

 

 

Options Outstanding October 27, 2012

    479,672     $ 73.04  
   

 

 

   

 

 

 

Non-vested stock option unit transactions during the nine months ended October 27, 2012 are summarized below:

 

                 
    Number of
Units
    Weighted
Average
Grant
Date Fair
Value
Per Unit
 

Non-Vested Options Outstanding, January 28, 2012

    290,464     $ 34.12  

Granted

    47,000       41.53  

Vested

    (53,259     (40.61

Forfeited

    (17,333     (43.11
   

 

 

   

 

 

 

Non-Vested Options Outstanding, October 27, 2012

    266,872     $ 33.50  
   

 

 

   

 

 

 

 

The following table summarizes information about the exercise price and weighted average remaining contractual life of options to purchase units that were outstanding under the Plan as well as options that were exercisable under the Plan as of October 27, 2012:

 

                                 
    Options Outstanding     Options Exercisable  

Exercise Prices

  Number
Outstanding
At
October 27, 2012
    Weighted
Average
Remaining
Contractual Life
(Years)
    Number
Exercisable
At
October 27, 2012
    Weighted
Average
Remaining
Contractual Life
(Years)
 

$30.60

    215,151       6.4       118,546       5.9  

$50.00

    54,000       8.8       —         —    

$65.00

    30,667       9.7       —         —    

$120.00

    42,333       9.1       —         —    

$120.60

    123,521       5.2       80,254       4.3  

$270.00

    14,000       0.3       14,000       0.3  
   

 

 

           

 

 

         
      479,672               212,800          
   

 

 

           

 

 

         

The following table summarizes information about the exercise prices and weighted average remaining contractual life of vested options and options expected to vest during the contractual term:

 

                         

Exercise Prices

  Options     Weighted
Average
Remaining
Contractual
Life (Years)
    Weighted
Average
Exercise
Price
 

Vested and Expected to Vest as of October 27, 2012

                       

$30.60

    178,560       6.3     $ 30.60  

$50.00

    43,200       8.8     $ 50.00  

$65.00

    24,533       9.7     $ 65.00  

$120.00

    33,867       9.1     $ 120.00  

$120.60

    108,057       5.0     $ 120.60  

$270.00

    14,000       0.3     $ 270.00  
   

 

 

                 
      402,217                  
   

 

 

                 

The fair value of each option granted is estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions used for grants under the Plan during the nine months ended October 27, 2012 and October 29, 2011:

 

                 
    Nine Months Ended  
    October 27,
2012
    October 29,
2011
 

Risk-Free Interest Rate

    1.0 –1.3     2.4 –3.4

Expected Volatility

    35.0     30.3

Expected Life (years)

    6.6       6.4 – 8.5  

Contractual Life (years)

    10       10  

Expected Dividend Yield

    0.0     0.0

Weighted Average Grant Date Fair Value of Options Issued at an exercise price of:

               

$30.60

  $ —       $ —    

$50.00

  $ 28.14     $ 26.75  

$65.00

  $ 47.42     $ —    

$120.00

  $ 30.57     $ 17.67  

$120.60

  $ —       $ —    

The weighted average grant date fair value of options granted has varied from period to period due to changes in the Company’s business enterprise value resulting from changes in the Company’s business forecast, market conditions and the refinancing of the Company’s debt and related dividend.

 

Restricted Stock Awards

Under the Plan, the Company also has the ability to grant restricted stock awards. Restricted stock awards typically vest 50% on the second anniversary of the grant and 50% on the third anniversary of the grant. Following a change of control, as defined by the Plan, all unvested units shall accelerate and vest as of the date of such change of control.

The Company did not incur any non-cash restricted stock compensation expense during the three months ended October 27, 2012. During the nine months ended October 27, 2012, the Company recorded $0.5 million of non-cash restricted stock compensation expense. There were no forfeitures of restricted stock during either the three or nine month periods ended October 27, 2012. During the three and nine month periods ended October 29, 2011, the Company recorded $0.3 million and $0.6 million, respectively, of non-cash restricted stock compensation expense. Included in the $0.3 million of restricted stock compensation expense during the three months ended October 29, 2011, the Company recognized $0.1 million of incremental expense related to forfeiture adjustments which increased the expense during the period, as a result of actual forfeitures during the period being less than initially estimated. During the nine month period ended October 29, 2011, the Company’s restricted stock compensation expense was reduced by $0.1 million as a result of forfeitures during the nine months ended October 29, 2011 being higher than initially estimated.

As of October 27, 2012, there was approximately $0.2 million of unearned non-cash stock-based compensation that the Company expects to recognize as expense over the next 2.6 years. Awards of restricted stock are expensed on a straight-line basis over the requisite service period of three years. At October 27, 2012, 91,460 of the outstanding awards of restricted stock were vested.

Non-vested restricted stock transactions during the nine months ended October 27, 2012 are summarized below:

 

                 
    Number of
Awards
    Weighted
Average
Grant Date
Fair Value
Per Awards
 

Non-Vested Restricted Stock Awards Outstanding, January 28, 2012

    28,122     $ 45.96  

Restricted Stock Awards Granted

    5,000       61.12  

Restricted Stock Awards Vested

    (28,122     (45.96
   

 

 

   

 

 

 

Non-Vested Restricted Stock Awards Outstanding, October 27, 2012

    5,000     $ 61.12  
   

 

 

   

 

 

 
XML 59 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Current Liabilities
9 Months Ended
Oct. 27, 2012
Other Current Liabilities [Abstract]  
Other Current Liabilities

9. Other Current Liabilities

Other current liabilities primarily consist of sales tax payable, customer liabilities, accrued payroll costs, self-insurance reserves, accrued operating expenses, payroll taxes payable, current portion of straight line rent liability and other miscellaneous items. Customer liabilities comprised of gift cards and layaway deposits totaled $30.5 million, $29.7 million and $32.2 million as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively.

The Company has risk participation agreements with insurance carriers with respect to workers’ compensation, general liability insurance and health insurance. Pursuant to these arrangements, the Company is responsible for paying individual claims up to designated dollar limits. The amounts included in costs related to these claims are estimated and can vary based on changes in assumptions or claims experience included in the associated insurance programs. An increase in worker’s compensation or health insurance claims by employees or general liability claims may result in a corresponding increase in costs related to these claims. Self-insurance reserves were $47.7 million, $49.6 million and $47.3 million, as of October 27, 2012, January 28, 2012 and October 29, 2011, respectively. At October 27, 2012, January 28, 2012 and October 29, 2011, the portion of self-insurance reserve expected to be paid in the next twelve months of $18.8 million, $19.1 million and $18.0 million, respectively, were recorded in the line item “Other Current Liabilities” in the Company’s Condensed Consolidated Balance Sheets. The remaining respective balances of $28.9 million, $30.5 million and $29.3 million were recorded in the line item “Other Liabilities” in the Company’s Condensed Consolidated Balance Sheets.

XML 60 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Events
9 Months Ended
Oct. 27, 2012
Subsequent Events [Abstract]  
Subsequent Events

11. Subsequent Events

As a result of the effects of Hurricane Sandy on October 29, 2012, 134 of the Company’s stores were closed for at least one day during the fourth quarter Fiscal 2012, of which one store was closed permanently. Three of the Company’s stores experienced significant damage, which led to merchandise inventory totaling approximately $5.8 million at retail being totally destroyed and written off by the Company in the fourth quarter of Fiscal 2012. The Company is insured at the selling price of the inventory less a deductible and believes it will be reimbursed in excess of the net book value of the merchandise inventory. The Company also incurred losses related to the long lived assets at these stores which had a net book value of approximately $1.3 million. These assets will be disposed of and written down to zero during the fourth quarter of Fiscal 2012. The Company is insured at replacement costs for these assets.

XML 61 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details 1) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
Fair Value of Debt [Abstract]      
Total debt , Carrying amount $ 1,404,607 $ 1,589,123 $ 1,586,824
Total Debt , Fair Value 1,462,741 1,567,247 1,556,114
$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019 [Member]
     
Fair Value of Debt [Abstract]      
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 and $450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from August 15, 2012 to February 15, 2019 , Carrying Amount (c) 450,000 450,000 450,000
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of 2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 and $450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from August 15, 2012 to February 15, 2019 , Fair Value (c) 497,250 432,000 442,125
Senior Secured Term Loans [Member]
     
Fair Value of Debt [Abstract]      
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 and $450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from August 15, 2012 to February 15, 2019 , Carrying Amount (c) 932,907 949,123 978,658
$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of 2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017 and $450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from August 15, 2012 to February 15, 2019 , Fair Value (c) 943,791 945,247 955,823
Revolving Credit Facility [Member]
     
Fair Value of Debt [Abstract]      
$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016. (a). Carrying Amount 21,700 190,000 158,100
$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016. (a). Fair value 21,700 190,000 158,100
Other Debt Obligations [Member]
     
Fair Value of Debt [Abstract]      
Other debt (b) Carrying Value     66
Other debt (b) Fair Value     $ 66
XML 62 R51.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Guarantor Data (Details) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Jan. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Jan. 29, 2011
Current Assets:                
Cash and Cash Equivalents $ 30,169     $ 35,664 $ 45,843     $ 30,214
Restricted Cash and Cash Equivalents 34,800     34,800 34,822      
Accounts Receivable 43,638     40,119 41,946      
Merchandise Inventories 844,991     682,260 945,719      
Deferred Tax Assets 16,283     23,243 25,991      
Prepaid and Other Current Assets 46,173     40,062 43,196      
Prepaid Income Taxes 31,961     21,319 49,274      
Intercompany Receivable                   
Assets Held for Sale 483     521 521      
Total Current Assets 1,048,498     877,988 1,187,312      
Property and Equipment - Net of Accumulated Depreciation 893,690     865,215 881,442      
Tradenames 238,000     238,000 238,000      
Favorable Leases - Net of Accumulated Amortization 338,443     359,903 367,493      
Goodwill 47,064     47,064 47,064      
Investment in Subsidiaries                   
Other Assets 114,307     112,973 90,258      
Total Assets 2,680,002     2,501,143 2,811,569      
Current Liabilities:                
Accounts Payable 678,092     276,285 650,152      
Other Current Liabilities 252,916     221,343 239,845      
Intercompany Payable                   
Current Maturities of Long Term Debt 5,515     7,659 5,728      
Total Current Liabilities 936,523     505,287 895,725      
Long Term Debt 1,422,571     1,605,464 1,605,238      
Other Liabilities 217,313     224,352 208,404      
Deferred Tax Liabilities 254,082     276,985 273,109      
Investment in Subsidiaries                   
Commitments and Contingencies                   
Stockholder's (Deficit) Equity:                
Common Stock                   
Capital in Excess of Par Value 477,298     474,569 472,431      
(Accumulated Deficit) Retained Earnings (627,785)     (585,514) (643,338)      
Total Stockholder's Deficit (150,487) (143,705) (113,327) (110,945) (170,907) (164,649) (132,391) 187,512
Total Liabilities and Stockholder's Deficit 2,680,002     2,501,143 2,811,569      
Holdings [Member]
               
Current Assets:                
Cash and Cash Equivalents                    
Restricted Cash and Cash Equivalents                   
Accounts Receivable                   
Merchandise Inventories                   
Deferred Tax Assets                   
Prepaid and Other Current Assets                   
Prepaid Income Taxes                   
Intercompany Receivable                  
Assets Held for Sale                  
Total Current Assets                   
Property and Equipment - Net of Accumulated Depreciation                   
Tradenames                   
Favorable Leases - Net of Accumulated Amortization                   
Goodwill                   
Investment in Subsidiaries                   
Other Assets                   
Total Assets                   
Current Liabilities:                
Accounts Payable                   
Other Current Liabilities                   
Intercompany Payable                  
Current Maturities of Long Term Debt                   
Total Current Liabilities                   
Long Term Debt                   
Other Liabilities                   
Deferred Tax Liabilities                   
Investment in Subsidiaries 150,487     110,945 170,907      
Commitments and Contingencies                 
Stockholder's (Deficit) Equity:                
Common Stock                   
Capital in Excess of Par Value 477,298     474,569 472,431      
(Accumulated Deficit) Retained Earnings (627,785)     (585,514) (643,338)      
Total Stockholder's Deficit (150,487)     (110,945) (170,907)      
Total Liabilities and Stockholder's Deficit                   
BCFW [Member]
               
Current Assets:                
Cash and Cash Equivalents 26,998     11,522 12,789     7,168
Restricted Cash and Cash Equivalents 34,800     34,800 34,800      
Accounts Receivable 33,550     21,037 30,520      
Merchandise Inventories                   
Deferred Tax Assets 8,497     10,008 7,421      
Prepaid and Other Current Assets 14,760     13,628 15,047      
Prepaid Income Taxes 28,909     18,964 45,973      
Intercompany Receivable                   
Assets Held for Sale                   
Total Current Assets 147,514     109,959 146,550      
Property and Equipment - Net of Accumulated Depreciation 77,361     80,220 79,979      
Tradenames 238,000     238,000 238,000      
Favorable Leases - Net of Accumulated Amortization                   
Goodwill 47,064     47,064 47,064      
Investment in Subsidiaries 2,095,171     1,995,796 1,876,968      
Other Assets 26,422     31,696 33,627      
Total Assets 2,631,532     2,502,735 2,422,188      
Current Liabilities:                
Accounts Payable 678,092     276,285 650,079      
Other Current Liabilities 122,032     134,874 127,899      
Intercompany Payable 445,568     471,255 92,440      
Current Maturities of Long Term Debt 4,753     6,953 5,000      
Total Current Liabilities 1,250,445     889,367 875,418      
Long Term Debt 1,399,854     1,582,169 1,581,759      
Other Liabilities 48,624     56,909 48,495      
Deferred Tax Liabilities 83,096     85,235 87,423      
Investment in Subsidiaries                   
Commitments and Contingencies                 
Stockholder's (Deficit) Equity:                
Common Stock                   
Capital in Excess of Par Value 477,298     474,569 472,431      
(Accumulated Deficit) Retained Earnings (627,785)     (585,514) (643,338)      
Total Stockholder's Deficit (150,487)     (110,945) (170,907)      
Total Liabilities and Stockholder's Deficit 2,631,532     2,502,735 2,422,188      
Guarantors [Member]
               
Current Assets:                
Cash and Cash Equivalents 3,171     24,142 33,054     23,046
Restricted Cash and Cash Equivalents           22      
Accounts Receivable 10,088     19,082 11,426      
Merchandise Inventories 844,991     682,260 945,719      
Deferred Tax Assets 7,786     13,235 18,570      
Prepaid and Other Current Assets 31,413     26,434 28,149      
Prepaid Income Taxes 3,052     2,355 3,301      
Intercompany Receivable 445,568     471,255 92,440      
Assets Held for Sale 483     521 521      
Total Current Assets 1,346,552     1,239,284 1,133,202      
Property and Equipment - Net of Accumulated Depreciation 816,329     784,995 801,463      
Tradenames                   
Favorable Leases - Net of Accumulated Amortization 338,443     359,903 367,493      
Goodwill                   
Investment in Subsidiaries                   
Other Assets 87,885     81,277 56,631      
Total Assets 2,589,209     2,465,459 2,358,789      
Current Liabilities:                
Accounts Payable           73      
Other Current Liabilities 130,884     86,469 111,946      
Intercompany Payable                   
Current Maturities of Long Term Debt 762     706 728      
Total Current Liabilities 131,646     87,175 112,747      
Long Term Debt 22,717     23,295 23,479      
Other Liabilities 168,689     167,443 159,909      
Deferred Tax Liabilities 170,986     191,750 185,686      
Investment in Subsidiaries                   
Commitments and Contingencies                 
Stockholder's (Deficit) Equity:                
Common Stock                   
Capital in Excess of Par Value 1,063,182     1,063,180 1,063,182      
(Accumulated Deficit) Retained Earnings 1,031,989     932,616 813,786      
Total Stockholder's Deficit 2,095,171     1,995,796 1,876,968      
Total Liabilities and Stockholder's Deficit 2,589,209     2,465,459 2,358,789      
Eliminations [Member]
               
Current Assets:                
Cash and Cash Equivalents                    
Restricted Cash and Cash Equivalents                   
Accounts Receivable                   
Merchandise Inventories                   
Deferred Tax Assets                   
Prepaid and Other Current Assets                   
Prepaid Income Taxes                   
Intercompany Receivable (445,568)     (471,255) (92,440)      
Assets Held for Sale                   
Total Current Assets (445,568)     (471,255) (92,440)      
Property and Equipment - Net of Accumulated Depreciation                   
Tradenames                   
Favorable Leases - Net of Accumulated Amortization                   
Goodwill                   
Investment in Subsidiaries (2,095,171)     (1,995,796) (1,876,968)      
Other Assets                   
Total Assets (2,540,739)     (2,467,051) (1,969,408)      
Current Liabilities:                
Accounts Payable                   
Other Current Liabilities                   
Intercompany Payable (445,568)     (471,255) (92,440)      
Current Maturities of Long Term Debt                   
Total Current Liabilities (445,568)     (471,255) (92,440)      
Long Term Debt                   
Other Liabilities                   
Deferred Tax Liabilities                   
Investment in Subsidiaries (150,487)     (110,945) (170,907)      
Commitments and Contingencies                 
Stockholder's (Deficit) Equity:                
Common Stock                   
Capital in Excess of Par Value (1,540,480)     (1,537,749) (1,535,613)      
(Accumulated Deficit) Retained Earnings (404,204)     (347,102) (170,448)      
Total Stockholder's Deficit (1,944,684)     (1,884,851) (1,706,061)      
Total Liabilities and Stockholder's Deficit $ (2,540,739)     $ (2,467,051) $ (1,969,408)      
XML 63 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring and Separation (Tables)
9 Months Ended
Oct. 27, 2012
Restructuring and Separation [Abstract]  
Summarizes the charges and payments related to restructuring and separation costs

The table below summarizes the charges and payments related to the Company’s restructuring and separation costs, which are included in the line items “Other Current Liabilities” in the Company’s Condensed Consolidated Balance Sheet as of October 27, 2012 and October 29, 2011:

 

                                         
    (in thousands)  
    January 28,
2012
    Charges     Cash
Payments
    Other     October 27,
2012
 

Severance – Restructuring

  $ —       $ 1,015     $ (1,015   $ —       $ —    

Severance – Separation Cost

    979       1,426       (1,670     —         735  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 979     $ 2,441     $ (2,685   $ —       $ 735  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
    (in thousands)  
    January 29,
2011
    Charges     Cash
Payments
    Other     October 29,
2011
 

Severance – Restructuring

  $ 6     $ 3,503     $ (3,286   $ —       $ 223  

Severance – Separation Cost

    1,231       2,118       (2,260     —         1,089  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,237     $ 5,621     $ (5,546   $ —       $ 1,312  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 64 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Guarantor Data (Tables)
9 Months Ended
Oct. 27, 2012
Condensed Guarantor Data [Abstract]  
Consolidated Balance Sheets

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

                                         
    As of October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 26,998     $ 3,171     $ —       $ 30,169  

Restricted Cash and Cash Equivalents

    —         34,800       —         —         34,800  

Accounts Receivable

    —         33,550       10,088       —         43,638  

Merchandise Inventories

    —         —         844,991       —         844,991  

Deferred Tax Asset

    —         8,497       7,786       —         16,283  

Prepaid and Other Current Assets

    —         14,760       31,413       —         46,173  

Prepaid Income Tax

    —         28,909       3,052       —         31,961  

Intercompany Receivable

    —         —         445,568       (445,568     —    

Assets Held for Sale

    —         —         483       —         483  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         147,514       1,346,552       (445,568     1,048,498  

Property and Equipment - Net of Accumulated Depreciation

    —         77,361       816,329       —         893,690  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases - Net of Accumulation Amortization

    —         —         338,443       —         338,443  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         2,095,171       —         (2,095,171     —    

Other Assets

    —         26,422       87,885       —         114,307  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —         2,631,532       2,589,209       (2,540,739     2,680,002  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —         678,092       —         —         678,092  

Other Current Liabilities

    —         122,032       130,884       —         252,916  

Intercompany Payable

    —         445,568       —         (445,568     —    

Current Maturities of Long Term Debt

    —         4,753       762       —         5,515  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         1,250,445       131,646       (445,568     936,523  

Long Term Debt

    —         1,399,854       22,717       —         1,422,571  

Other Liabilities

    —         48,624       168,689       —         217,313  

Deferred Tax Liability

    —         83,096       170,986       —         254,082  

Investment in Subsidiaries

    150,487       —         —         (150,487     —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    477,298       477,298       1,063,182       (1,540,480     477,298  

(Accumulated Deficit) Retained Earnings

    (627,785     (627,785     1,031,989       (404,204     (627,785
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (150,487     (150,487     2,095,171       (1,944,684     (150,487
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

  $ —         2,631,532       2,589,209       (2,540,739     2,680,002  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Consolidated Balance Sheets

(All amounts in thousands)

 

                                         
    As of January 28, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 11,522     $ 24,142     $ —       $ 35,664  

Restricted Cash and Cash Equivalents

    —         34,800       —         —         34,800  

Accounts Receivable

    —         21,037       19,082       —         40,119  

Merchandise Inventories

    —         —         682,260       —         682,260  

Deferred Tax Assets

    —         10,008       13,235       —         23,243  

Prepaid and Other Current Assets

    —         13,628       26,434       —         40,062  

Prepaid Income Taxes

    —         18,964       2,355       —         21,319  

Intercompany Receivable

    —         —         471,255       (471,255     —    

Assets Held for Disposal

    —         —         521       —         521  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         109,959       1,239,284       (471,255     877,988  

Property and Equipment—Net of Accumulated Depreciation

    —         80,220       784,995       —         865,215  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases—Net of Accumulated Amortization

    —         —         359,903       —         359,903  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         1,995,796       —         (1,995,796     —    

Other Assets

    —         31,696       81,277       —         112,973  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —       $ 2,502,735     $ 2,465,459     $ (2,467,051   $ 2,501,143  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —       $ 276,285     $ —       $ —       $ 276,285  

Other Current Liabilities

    —         134,874       86,469       —         221,343  

Intercompany Payable

    —         471,255       —         (471,255     —    

Current Maturities of Long Term Debt

    —         6,953       706       —         7,659  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         889,367       87,175       (471,255     505,287  

Long Term Debt

    —         1,582,169       23,295       —         1,605,464  

Other Liabilities

    —         56,909       167,443       —         224,352  

Deferred Tax Liability

    —         85,235       191,750       —         276,985  

Investment in Subsidiaries

    110,945       —         —         (110,945     —    

Commitments and Contingencies

    —         —         —         —         —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    474,569       474,569       1,063,180       (1,537,749     474,569  

(Accumulated Deficit) Retained Earnings

    (585,514     (585,514     932,616       (347,102     (585,514
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (110,945     (110,945     1,995,796       (1,884,851     (110,945
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s Equity (Deficit)

  $ —       $ 2,502,735     $ 2,465,459     $ (2,467,051   $ 2,501,143  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Balance Sheets

(All amounts in thousands)

 

                                         
    As of October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

ASSETS

                                       

Current Assets:

                                       

Cash and Cash Equivalents

  $ —       $ 12,789     $ 33,054     $ —       $ 45,843  

Restricted Cash and Cash Equivalents

    —         34,800       22       —         34,822  

Accounts Receivable

    —         30,520       11,426       —         41,946  

Merchandise Inventories

    —         —         945,719       —         945,719  

Deferred Tax Asset

    —         7,421       18,570       —         25,991  

Prepaid and Other Current Assets

    —         15,047       28,149       —         43,196  

Income Tax Receivable

    —         45,973       3,301       —         49,274  

Intercompany Receivable

    —         —         92,440       (92,440     —    

Assets Held for Sale

    —         —         521       —         521  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Assets

    —         146,550       1,133,202       (92,440     1,187,312  

Property and Equipment – Net of Accumulated Depreciation

    —         79,979       801,463       —         881,442  

Tradenames

    —         238,000       —         —         238,000  

Favorable Leases – Net of Accumulation Amortization

    —         —         367,493       —         367,493  

Goodwill

    —         47,064       —         —         47,064  

Investment in Subsidiaries

    —         1,876,968       —         (1,876,968     —    

Other Assets

    —         33,627       56,631               90,258  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Assets

  $ —       $ 2,422,188     $ 2,358,789     $ (1,969,408   $ 2,811,569  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

LIABILITIES AND STOCKHOLDER’S EQUITY

                                       

Current Liabilities:

                                       

Accounts Payable

  $ —       $ 650,079     $ 73     $ —       $ 650,152  

Other Current Liabilities

    —         127,899       111,946       —         239,845  

Intercompany Payable

    —         92,440       —         (92,440        

Current Maturities of Long Term Debt

    —         5,000       728               5,728  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Current Liabilities

    —         875,418       112,747       (92,440     895,725  

Long Term Debt

    —         1,581,759       23,479       —         1,605,238  

Other Liabilities

    —         48,495       159,909       —         208,404  

Deferred Tax Liability

    —         87,423       185,686       —         273,109  

Investment in Subsidiaries

    170,907       —         —         (170,907     —    

Stockholder’s (Deficit) Equity:

                                       

Common Stock

    —         —         —         —         —    

Capital in Excess of Par Value

    472,431       472,431       1,063,182       (1,535,613     472,431  

(Accumulated Deficit) Retained Earnings

    (643,338     (643,338     813,786       (170,448     (643,338
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Stockholder’s (Deficit) Equity

    (170,907     (170,907     1,876,968       (1,706,061     (170,907
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Liabilities and Stockholder’s (Deficit) Equity

  $ —       $ 2,422,188     $ 2,358,789     $ (1,969,408   $ 2,811,569  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 2,814,497     $ —       $ 2,814,497  

Other Revenue

    —         175       22,876       —         23,051  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         175       2,837,373       —         2,837,548  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         1,757,823       —         1,757,823  

Selling and Administrative Expenses

    —         143,942       804,490       —         948,432  

Restructuring and Separation Costs

    —         1,783       658       —         2,441  

Depreciation and Amortization

    —         19,526       101,222       —         120,748  

Impairment Charges – Long-Lived Assets

    —         —         1,100       —         1,100  

Other Income, Net

    —         (3,022     (3,308     —         (6,330

Loss on Extinguishment of Debt

            3,413       —         —         3,413  

Interest Expense

    —         83,001       1,528       —         84,529  

Loss (Earnings) from Equity Investment

    42,644       (99,375     —         56,731       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    42,644       149,268       2,663,513       56,731       2,912,156  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (42,644     (149,093     173,860       (56,731     (74,608

(Benefit) Provision for Income Taxes

    —         (106,449     74,485       —         (31,964
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (42,644   $ (42,644   $ 99,375     $ (56,731   $ (42,644
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (42,644   $ (42,644   $ 99,375     $ (56,731   $ (42,644
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                         
    For the Three Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 967,894     $ —       $ 967,894  

Other Revenue

    —         97       7,861       —         7,958  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         97       975,755       —         975,852  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         594,389       —         594,389  

Selling and Administrative Expenses

    —         45,903       289,203       —         335,106  

Restructuring and Separation Costs

    —         413       222       —         635  

Depreciation and Amortization

    —         6,290       34,554       —         40,844  

Impairment Charges – Long-Lived Assets

    —         —         1,021       —         1,021  

Other Income, Net

    —         (942     (971     —         (1,913
                                         

Interest Expense

    —         26,921       500       —         27,421  

Loss (Earnings) from Equity Investment

    7,447       (21,598     —         14,151       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    7,447       56,987       918,918       14,151       997,503  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (7,447     (56,890     56,837       (14,151     (21,651

(Benefit) Provision for Income Taxes

    —         (49,443     35,239       —         (14,204
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (7,447   $ (7,447   $ 21,598     $ (14,151   $ (7,447
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (7,447   $ (7,447   $ 21,598     $ (14,151   $ (7,447
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                         
    For the Nine Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 2,621,094     $ —       $ 2,621,094  

Other Revenue

    —         294       22,189       —         22,483  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         294       2,643,283       —         2,643,577  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         1,625,163       —         1,625,163  

Selling and Administrative Expenses

    —         129,272       753,396       —         882,668  

Restructuring and Separation Costs

    —         3,025       2,596       —         5,621  

Depreciation and Amortization

    —         17,070       96,104       —         113,174  

Impairment Charges – Long-Lived Assets

    —         —         34       —         34  

Other Income, Net

    —         (4,285     (2,730     —         (7,015

Loss on Extinguishment of Debt

            36,042       1,722       —         37,764  

Interest Expense

    —         95,352       2,624       —         97,976  

Loss (Earnings) from Equity Investment

    64,096       (94,231     —         30,135       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    64,096       182,245       2,478,909       30,135       2,755,385  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (64,096     (181,951     164,374       (30,135     (111,808

(Benefit) Provision for Income Taxes

    —         (117,855     70,143       —         (47,712
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (64,096   $ (64,096   $ 94,231     $ (30,135   $ (64,096
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (64,096   $ (64,096   $ 94,231     $ (30,135   $ (64,096
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statement of Operations and Comprehensive Loss (Income)

(All amounts in thousands)

 

                                         
    For the Three Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Eliminations     Consolidated  

REVENUES:

                                       

Net Sales

  $ —       $ —       $ 898,663     $ —       $ 898,663  

Other Revenue

    —         114       8,026       —         8,140  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Revenue

    —         114       906,689       —         906,803  

COSTS AND EXPENSES:

                                       

Cost of Sales

    —         —         540,807       —         540,807  

Selling and Administrative Expenses

    —         46,597       270,537       —         317,134  

Restructuring and Separation Costs

    —         (895     1,326       —         431  

Depreciation and Amortization

    —         6,482       32,706       —         39,188  

Other Income, Net

    —         (1,268     (629     —         (1,897

Interest Expense

    —         34,293       519       —         34,812  

Loss (Earnings) from Equity Investment

    10,277       (31,361     —         21,084       —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Costs and Expenses

    10,277       53,848       845,266       21,084       930,475  

(Loss) Income Before (Benefit) Provision for Income Taxes

    (10,277     (53,734     61,423       (21,084     (23,672

(Benefit) Provision for Income Taxes

    —         (43,457     30,062       —         (13,395
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net (Loss) Income

  $ (10,277   $ (10,277   $ 31,361     $ (21,084   $ (10,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Comprehensive (Loss) Income

  $ (10,277   $ (10,277   $ 31,361     $ (21,084   $ (10,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
Condensed Consolidating Statements of Cash Flows

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 27, 2012  
    Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

                                       

Net Cash Provided by Operating Activities

  $ —       $ 255,010     $ 58,186     $ —       $ 313,196  

INVESTING ACTIVITIES

                                       

Cash Paid For Property and Equipment

    —         (24,955     (104,299     —         (129,254

Proceeds Received from Sale of Fixed Assets

    —         —         407       —         407  

Lease Rights Acquired

    —         —         (430     —         (430
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

    —         (24,955     (104,322     —         (129,277
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

                                       

Proceeds from Long Term Debt – ABL Line of Credit

    —         404,500       —         —         404,500  

Proceeds from Long Term Debt – Term Loan

    —         116,913       —         —         116,913  

Principal Payments on Long Term Debt – ABL Line of Credit

    —         (572,800     —         —         (572,800

Principal Payments on Long Term Debt

    —         —         (521     —         (521

Principal Payments on Long Term Debt – Term Loan

    —         (135,749     -       —         (135,749

Debt Issuance Cost

    —         (807     -       —         (807

Stock Option Exercise and Related Tax Benefits

    —         761       -       —         761  

Intercompany Borrowings (Payments)

    —         (25,687     25,687               —    

Payment of Dividends

    (1,711     (1,711     —         1,711       (1,711

Receipt of Dividends

    1,711       —         —         (1,711     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

    —         (214,580     25,166       —         (189,414

Increase in Cash and Cash Equivalents

    —         15,475       (20,970     —         (5,495

Cash and Cash Equivalents at Beginning of Period

    —         11,523       24,141       —         35,664  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

  $ —       $ 26,998     $ 3,171     $ —       $ 30,169  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

Burlington Coat Factory Investments Holdings, Inc. and Subsidiaries

Condensed Consolidating Statements of Cash Flows

(All amounts in thousands)

 

                                         
    For the Nine Months Ended October 29, 2011  
    Holdings     BCFW     Guarantors     Elimination     Consolidated  

OPERATING ACTIVITIES

                                       

Net Cash Provided by Operating Activities

  $ —       $ 325,478     $ (100,296   $ —       $ 225,182  

INVESTING ACTIVITIES

                                       

Cash Paid For Property and Equipment

    —         (36,588     (79,658     —         (116,246

Proceeds Received from Sale of Fixed Assets

    —         —         663       —         663  

Lease Rights Acquired

    —         —         (557     —         (557

Change in Restricted Cash and Cash Equivalents

    —         (7000     2,442       —         (4,558

Investing Activity – Other

    —         (1,064     —         —         (1,064
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used in Investing Activities

    —         (44,652     (77,110     —         (121,762
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

FINANCING ACTIVITIES

                                       

Proceeds from Long Term Debt – ABL Line of Credit

    —         687,800       —         —         687,800  

Proceeds from Long Term Debt – Notes Payable

    —         450,000       —         —         450,000  

Proceeds from Long Term Debt – Term Loan

    —         991,158       —         —         991,158  

Principal Payments on Long Term Debt – ABL Line of Credit

    —         (698,300     —         —         (698,300

Principal Payments on Long Term Debt – Senior Discount Notes

    —         —         (99,309     —         (99,309

Principal Payments on Long Term Debt – Senior Notes

    —         (302,056     —         —         (302,056

Principal Payments on Long Term Debt

    —         —         (622     —         (622

Principal Payments on Long Term Debt – Term Loan

    —         (790,050     —         —         (790,050

Debt Issuance Cost

    —         (29,255     —         —         (29,255

Stock Option Exercise and Related Tax Benefits

    —         760       —         —         760  

Intercompany Borrowings (Payments)

    —         (287,345     287,345       —         —    

Payment of Dividends

    (297,917     (297,917     —         297,917       (297,917

Receipt of Dividends

    297,917       —         —         (297,917     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net Cash Used In Financing Activities

    —         (275,205     187,414       —         (87,791

Increase in Cash and Cash Equivalents

    —         5,621       10,008       —         15,629  

Cash and Cash Equivalents at Beginning of Period

    —         7,168       23,046       —         30,214  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and Cash Equivalents at End of Period

  $ —       $ 12,789     $ 33,054     $ —       $ 45,843  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 65 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details) (USD $)
In Millions, unless otherwise specified
Oct. 27, 2012
Store
Jan. 28, 2012
Oct. 29, 2011
Line Of Credit Facility [Line Items]      
Letters of credit, Outstanding amount $ 36.0 $ 35.3 $ 40.5
Property Subject to or Available for Operating Lease, Number of Units 4    
Commitments and Contingencies (Textual) [Abstract]      
Reserves relating to legal claims 1.0 6.1 3.9
Minimum lease payments for operating leases February 2, 2013 64.6    
Minimum lease payments for operating leases February 1, 2014 225.1    
Minimum lease payments for operating leases January 31, 2015 211.1    
Minimum lease payments for operating leases January 30, 2016 187.8    
Minimum lease payments for operating leases January 28, 2017 799.8    
Relocated Stores [Member]
     
Line Of Credit Facility [Line Items]      
Property Subject to or Available for Operating Lease, Number of Units 1    
ABL Line of Credit [Member]
     
Line Of Credit Facility [Line Items]      
Letters of credit, Outstanding amount 542.3 242.6 401.3
Guarantee performance under insurance and utility agreement [Member]
     
Line Of Credit Facility [Line Items]      
Letters of credit, Outstanding amount 26.2 27.7 30.7
Merchandising agreement [Member]
     
Line Of Credit Facility [Line Items]      
Letters of credit, Outstanding amount $ 9.8 $ 7.6 $ 9.8
XML 66 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Option and Award Plans and Stock-Based Compensation (Details 1) (USD $)
9 Months Ended
Oct. 27, 2012
Stock option transactions  
Outstanding, Number of Units 479,672
Stock Options [Member]
 
Stock option transactions  
Outstanding, Number of Units 472,673
Options Granted , Number of Units 47,000
Options Forfeited , Number of Units (24,768)
Options Exercised, Number of units (15,233)
Outstanding, Number of Units 479,672
Options Outstanding January 28, 2012, Weighted Average Exercise Price Per Unit $ 69.86
Options Granted ,Weighted Average Exercise Per Unit $ 83.12
Options Forfeited ,Weighted Average Exercise Per Unit $ (72.31)
Options Exercised ,Weighted Average Exercise Per Unit $ (30.60)
Options Outstanding October 27, 2012 Weighted Average Exercise Price Per Unit $ 73.04
XML 67 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Oct. 27, 2012
Oct. 29, 2011
OPERATING ACTIVITIES    
Net Loss $ (42,644) $ (64,096)
Adjustments to Reconcile Net Loss to Net Cash Provided by Operating Activities:    
Depreciation and Amortization 120,748 113,174
Impairment Charges - Long-Lived Assets 1,100 34
Amortization of Debt Issuance Costs 4,138 10,297
Accretion of Senior Notes 1,241 60
Interest Rate Cap Agreement - Adjustment to Market 19 2,355
Provision for Losses on Accounts Receivable 105 1,241
Deferred Income Tax Provision (Benefit) (16,021) (7,113)
Loss on Retirement of Fixed Assets 396 708
Loss on Extinguishment of Debt - Write-off of Deferred Financing Fees 3,413 16,435
Excess Tax Benefit from Stock Based Compensation (302) (213)
Non-Cash Stock Based Compensation Expense 1,968 4,917
Non-Cash Rent Expense (6,532) (3,177)
Changes in Assets and Liabilities:    
Accounts Receivable (11,883) (10,670)
Merchandise Inventories (162,731) (301,492)
Prepaid and Other Current Assets (16,754) (39,934)
Accounts Payable 401,807 459,692
Other Current Liabilities and Income Tax Payable 23,040 20,248
Deferred Rent Incentives 19,320 26,934
Other Long Term Assets and Long Term Liabilities (7,232) (4,218)
Net Cash Provided by Operating Activities 313,196 225,182
INVESTING ACTIVITIES    
Cash Paid For Property and Equipment (129,254) (116,246)
Proceeds Received from Sale of Property and Equipment 407 663
Increase in Restricted Cash and Cash Equivalents    (4,558)
Lease Acquisition Costs (430) (557)
Other   (1,064)
Net Cash Used in Investing Activities (129,277) (121,762)
FINANCING ACTIVITIES    
Proceeds from Long Term Debt - ABL Line of Credit 404,500 687,800
Proceeds from Long Term Debt - Senior Notes    450,000
Proceeds from Long Term Debt - Term Loan 116,913 991,158
Principal Payments on Long Term Debt - ABL Line of Credit (572,800) (698,300)
Principal Payments on Long Term Debt - Senior Discount Notes    (99,309)
Principal Payments on Long Term Debt - Senior Notes    (302,056)
Principal Payments on Long Term Debt (521) (622)
Principal Payments on Long Term Debt - Term Loan (135,749) (790,050)
Payment of Dividends (1,711) (297,917)
Stock Option Exercise and Related Tax Benefits 761 760
Debt Issuance Costs (807) (29,255)
Net Cash Used in Financing Activities (189,414) (87,791)
(Decrease)/Increase in Cash and Cash Equivalents (5,495) 15,629
Cash and Cash Equivalents at Beginning of Period 35,664 30,214
Cash and Cash Equivalents at End of Period 30,169 45,843
Supplemental Disclosure of Cash Flow Information    
Interest Paid 91,274 85,507
Net Income Tax Payments 4,029 4,064
Non-Cash Investing Activities:    
Accrued Purchases of Property and Equipment $ 22,150 $ 19,950
XML 68 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements
9 Months Ended
Oct. 27, 2012
Fair Value Measurements [Abstract]  
Fair Value Measurements

5. Fair Value Measurements

The Company accounts for fair value measurements in accordance with ASC Topic No. 820, “Fair Value Measurements and Disclosures,” (Topic No. 820) which defines fair value, establishes a framework for measurement and expands disclosure about fair value measurements. Topic No. 820 defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (exit price), and classifies the inputs used to measure fair value into the following hierarchy:

 

     
Level 1:   Quoted prices for identical assets or liabilities in active markets.
   
Level 2:   Quoted market prices for similar assets or liabilities in active markets; quoted prices for identical or similar assets or liabilities in markets that are not active; and model-derived valuations whose inputs are observable or whose significant value drivers are observable.
   
Level 3:  

Pricing inputs that are unobservable for the assets and liabilities and include situations where there is little, if any, market

activity for the assets and liabilities.

The inputs into the determination of fair value require significant management judgment or estimation.

Financial Assets

The Company’s financial assets as of October 27, 2012 included cash equivalents, interest rate cap agreements and a note receivable. The Company’s financial liabilities are discussed below. The carrying value of cash equivalents approximates fair value due to its short-term nature. The fair values of the interest rate cap agreements are determined using quotes that are based on models whose inputs are observable LIBOR forward interest rate curves. To comply with the provisions of Topic No. 820, the Company incorporates credit valuation adjustments to appropriately reflect both the Company’s non-performance risk and the respective counterparty’s non-performance risk in the fair value measurements. In adjusting the fair value of the Company’s interest rate cap agreements for the effect of non-performance risk, the Company has considered the impact of netting and any applicable credit enhancements, such as collateral postings, thresholds, mutual puts, and guarantees. As a result, the Company has determined that the inputs used to value this investment fall within Level 2 of the fair value hierarchy.

 

Although the Company has determined that the majority of the inputs used to value its interest rate cap agreements fall within Level 2 of the fair value hierarchy, the credit valuation adjustments associated with the Company’s interest rate cap agreements utilize Level 3 inputs, such as estimates of current credit spreads to evaluate the likelihood of default. As of October 27, 2012, the Company recorded credit valuation adjustments of less than $0.1 million to the overall valuation of the Company’s interest rate cap agreements. The credit valuation adjustment is not considered significant to the valuation of each of the individual interest rate cap agreements and as a result, the Company has determined that its interest rate cap agreement valuations in their entirety are classified as Level 2 within the fair value hierarchy.

The fair value of the note receivable is based on a discounted cash flow analysis whose inputs are unobservable, and therefore it falls within Level 3 of the fair value hierarchy.

The fair values of the Company’s financial assets and the hierarchy of the level of inputs are summarized below:

 

                         
    (in thousands)  
    Fair Value Measurements at  
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

Assets:

                       

Level 1

                       

Cash equivalents (including restricted cash)

  $ 34,959     $ 34,915     $ 34,924  

Level 2

                       

Interest rate cap agreements (a)

  $ 95     $ 114     $ 924  

Level 3

                       

Note Receivable (b)

  $ 758     $ 763     $ 1,099  

 

  (a) Included in “Other Assets” within the Company’s Condensed Consolidated Balance Sheets (refer to Note 6 of the Company’s Condensed Consolidated Financial Statements, entitled “Derivative Instruments and Hedging Activities,” for further discussion regarding the Company’s interest rate cap agreements).
  (b) Included in “Prepaid and Other Current Assets” and “Other Assets” on the Company’s Consolidated Balance Sheets. The change in fair value of the Company’s Level 3 note receivable from January 28, 2012 to October 27, 2012 is related to unrealized losses. The change in fair value of the Company’s Level 3 note receivable from October 29, 2011 to October 27, 2012 is related to the Company receiving a partial payment in the amount of $0.5 million, which was partially offset by unrealized gains in the amount of $0.2 million.

Financial Liabilities

The fair value of the Company’s debt as of October 27, 2012, January 28, 2012 and October 29, 2011 is noted in the table below:

 

                                                 
    (in thousands)  
    October 27, 2012     January 28, 2012     October 29, 2011  
    Carrying
Amount
(c)
    Fair
Value (c)
    Carrying
Amount
(c)
    Fair
Value (c)
    Carrying
Amount
(c)
    Fair
Value (c)
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8% due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

  $ 932,907     $ 943,791     $ 949,123     $ 945,247     $ 978,658     $ 955,823  

$450,000 Senior Notes, 10% due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

    450,000       497,250       450,000       432,000       450,000       442,125  

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016. (a)

    21,700       21,700       190,000       190,000       158,100       158,100  

Other debt (b)

    —         —         —         —         66       66  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total debt

  $ 1,404,607     $ 1,462,741     $ 1,589,123     $ 1,567,247     $ 1,586,824     $ 1,556,114  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) The carrying value of the ABL Line of Credit approximates its fair value due to its short term nature (borrowings are typically done in increments of 30 days or less) and its variable interest rate.

 

(b) Other debt includes the industrial revenue bonds and both promissory notes, as described in the Fiscal 2011 10-K.
(c) Capital lease obligations are excluded from the table above.

As of October 27, 2012, the fair value of the Company’s debt, exclusive of capital leases, was $1,462.7 million compared to the carrying value of $1,404.6 million. The fair values presented herein are based on estimates using quoted market prices for the same or similar issues and other pertinent information available to management as of the respective period end dates. The estimated fair values of the Company’s debt are classified as Level 2 in the fair value hierarchy. Although management is not aware of any factors that could significantly affect the estimated fair value amounts, such amounts have not been comprehensively revalued for purposes of these Condensed Consolidated Financial Statements since October 27, 2012, and current estimates of fair value may differ from amounts presented herein.

XML 69 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholder's Deficit (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Oct. 27, 2012
Oct. 29, 2011
Summary of common stock, capital in excess of par value, accumulated deficit, and total stockholder's deficit equity                
Beginning Balance $ (143,705) $ (113,327) $ (110,945) $ (164,649) $ (132,391) $ 187,512 $ (110,945) $ 187,512
Net Loss (7,447) (31,257) (3,940) (10,277) (32,763) (21,056) (42,644) (64,096)
Stock Options Exercised and Related Tax Benefits 100 267 394 2 310   761 760
Excess Tax Benefit from Stock Based Compensation           448 302 213
Stock Based Compensation 565 612 791 4,017 195 705    
Dividends     373     (300,000)    
Ending Balance (150,487) (143,705) (113,327) (170,907) (164,649) (132,391) (150,487) (170,907)
Common Stock [Member]
               
Summary of common stock, capital in excess of par value, accumulated deficit, and total stockholder's deficit equity                
Beginning Balance                        
Net Loss                      
Stock Options Exercised and Related Tax Benefits                     
Excess Tax Benefit from Stock Based Compensation                 
Stock Based Compensation                      
Dividends                  
Ending Balance                        
Capital in Excess of Par Value [Member]
               
Summary of common stock, capital in excess of par value, accumulated deficit, and total stockholder's deficit equity                
Beginning Balance 476,633 475,754 474,569 468,412 467,907 466,754 474,569 466,754
Net Loss                   
Stock Options Exercised and Related Tax Benefits 100 267 394 2 310      
Excess Tax Benefit from Stock Based Compensation           448    
Stock Based Compensation 565 612 791 4,017 195 705    
Ending Balance 477,298 476,633 475,754 472,431 468,412 467,907 477,298 472,431
Accumulated Deficit [Member]
               
Summary of common stock, capital in excess of par value, accumulated deficit, and total stockholder's deficit equity                
Beginning Balance (620,338) (589,081) (585,514) (633,061) (600,298) (279,242) (585,514) (279,242)
Net Loss (7,447) (31,257) (3,940) (10,277) (32,763) (21,056)    
Stock Options Exercised and Related Tax Benefits                   
Stock Based Compensation                   
Dividends     373     (300,000)    
Ending Balance $ (627,785) $ (620,338) $ (589,081) $ (643,338) $ (633,061) $ (600,298) $ (627,785) $ (643,338)
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In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Oct. 29, 2011
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Non-Current Deferred Tax Liability 254,082 276,985 273,109
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Long Term Debt (Tables)
9 Months Ended
Oct. 27, 2012
Long Term Debt [Abstract]  
Long term debt

Long term debt consists of:

 

                         
    (in thousands)  
    October 27,
2012
    January 28,
2012
    October 29,
2011
 

$1,000,000 Senior Secured Term Loan Facility, LIBOR (with a floor of 1.5%) plus 4.8%, due in quarterly payments of $2,400 from August 3, 2013 to January 28, 2017, matures on February 23, 2017.

  $ 932,907     $ 949,123     $ 978,658  

$450,000 Senior Notes, 10%, due at maturity on February 15, 2019, semi-annual interest payments on August 15 and February 15, from February 15, 2013 to February 15, 2019.

    450,000       450,000       450,000  

$600,000 ABL Senior Secured Revolving Facility, LIBOR plus spread based on average outstanding balance, expires September 2, 2016.

    21,700       190,000       158,100  

Promissory Note, non-interest bearing, due in monthly payments of $17 through January 1, 2012.

    —         —         50  

Promissory Note, 4.4% due in monthly payments of $8 through December 23, 2011.

    —         —         16  

Capital Lease Obligations

    23,479       24,000       24,142  
   

 

 

   

 

 

   

 

 

 

Total debt

    1,428,086       1,613,123       1,610,966  

Less: current maturities

    (5,515     (7,659     (5,728
   

 

 

   

 

 

   

 

 

 

Long-term debt, net of current maturities

  $ 1,422,571     $ 1,605,464     $ 1,605,238