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BENEFIT PLANS (Details 3) (Plan, USD $)
In Thousands, unless otherwise specified
12 Months Ended
Feb. 02, 2013
Jan. 28, 2012
Weighted Average Asset Allocations    
Fair values of pension plan assets   $ 43,602
Changes in fair value    
Balance at beginning of year 43,602 39,063
Interest income and gains 2,050 3,193
Benefits paid during the period (1,631) (1,654)
Balance at end of year   43,602
Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   43,602
Changes in fair value    
Balance at end of year   43,602
Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   42,268
Changes in fair value    
Balance at end of year   42,268
Level 3
   
Changes in fair value    
Balance at beginning of year 1,334  
Interest income and gains 116  
Administrative fees (72)  
Benefits paid during the period (1,378)  
Equities
   
Weighted Average Asset Allocations    
Target Asset Allocation (as a percent)   50.00%
Weighted average asset allocations (as a percent)   50.00%
Asset Allocation Ranges, Minimum (as a percent)   45.00%
Asset Allocation Ranges, Maximum (as a percent)   55.00%
Domestic equities
   
Weighted Average Asset Allocations    
Weighted average asset allocations (as a percent)   32.00%
Asset Allocation Ranges, Minimum (as a percent)   28.00%
Asset Allocation Ranges, Maximum (as a percent)   38.00%
US Small/Mid Cap Growth | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,372
Changes in fair value    
Balance at end of year   1,372
US Small/Mid Cap Growth | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,372
Changes in fair value    
Balance at end of year   1,372
US Small/Mid Cap Value | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,335
Changes in fair value    
Balance at end of year   1,335
US Small/Mid Cap Value | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,335
Changes in fair value    
Balance at end of year   1,335
US Large Cap Passive | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   11,006
Changes in fair value    
Balance at end of year   11,006
US Large Cap Passive | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   11,006
Changes in fair value    
Balance at end of year   11,006
Non-US equities
   
Weighted Average Asset Allocations    
Weighted average asset allocations (as a percent)   18.00%
Asset Allocation Ranges, Minimum (as a percent)   12.00%
Asset Allocation Ranges, Maximum (as a percent)   22.00%
Non-US Core Equity | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   7,962
Changes in fair value    
Balance at end of year   7,962
Non-US Core Equity | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   7,962
Changes in fair value    
Balance at end of year   7,962
Fixed income
   
Weighted Average Asset Allocations    
Target Asset Allocation (as a percent)   50.00%
Weighted average asset allocations (as a percent)   50.00%
Asset Allocation Ranges, Minimum (as a percent)   45.00%
Asset Allocation Ranges, Maximum (as a percent)   55.00%
Long Duration | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   15,598
Changes in fair value    
Balance at end of year   15,598
Long Duration | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   15,598
Changes in fair value    
Balance at end of year   15,598
Long Duration Passive | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   4,995
Changes in fair value    
Balance at end of year   4,995
Long Duration Passive | Level 2
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   4,995
Changes in fair value    
Balance at end of year   4,995
Guaranteed annuity contracts | Fair Value
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,334
Changes in fair value    
Balance at end of year   1,334
Guaranteed annuity contracts | Level 3
   
Weighted Average Asset Allocations    
Fair values of pension plan assets   1,334
Changes in fair value    
Balance at end of year   $ 1,334