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Financial Instruments and Fair Value - Additional Information (Detail) (USD $)
9 Months Ended 12 Months Ended
Nov. 01, 2014
Nov. 02, 2013
Feb. 01, 2014
Foreign Exchange Contract
     
Financial Instruments and Fair Value [Line Items]      
Cash flow hedges settlement period These contracts have been designated as cash flow hedges and will be settled over the next 9 months (February 1, 2014 and November 2, 2013 12 months and 15 months, respectively).    
Foreign Exchange Contract | Not Designated as Hedging Instrument
     
Financial Instruments and Fair Value [Line Items]      
Total notional amount $ 58,400,000 $ 103,400,000 $ 22,100,000
Commodity Contract
     
Financial Instruments and Fair Value [Line Items]      
Cash flow hedges settlement period These contracts have been designated as cash flow hedges and will be settled over the next 12 months (February 1, 2014 and November 2, 2013 12 months and 12 months, respectively).    
Interest Rate Risk
     
Financial Instruments and Fair Value [Line Items]      
Total notional amount 0 0 0
Cash Flow Hedging
     
Financial Instruments and Fair Value [Line Items]      
Derivative losses to be reclassified out of AOCI in the next 12 months 5,800,000    
Derivative losses to be reclassified out of AOCI in the remainder of Fiscal 2015 3,600,000    
Cash Flow Hedging | Foreign Exchange Contract
     
Financial Instruments and Fair Value [Line Items]      
Total notional amount 27,400,000 60,400,000 42,300,000
Contracts maturity period 9 months 15 months 12 months
Cash Flow Hedging | Commodity Contract
     
Financial Instruments and Fair Value [Line Items]      
Total notional amount $ 85,400,000 $ 58,100,000 $ 63,000,000
Contracts maturity period 12 months 12 months 12 months