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Fair Value Measurements (Tables)
9 Months Ended
Oct. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule of fair values of the Company's derivative instruments classified as Level 2 financial instruments

The fair values of the Company’s derivative instruments classified as Level 2 financial instruments and the line items within the accompanying consolidated balance sheets to which they were recorded are summarized as of October 30, 2021 and January 30, 2021, follows:

    

    

October 30,

January 30,

Balance Sheet Line Item

2021

    

2021

Derivatives designated as hedging instruments:

 

 

  

 

  

Foreign currency derivatives

Accrued liabilities

$

371,000

$

Total

 

371,000

 

Three-Month Periods Ended

Nine-Month Periods Ended

    

Line Item in Statement

    

October 30,

October 31,

    

October 30,

October 31,

of Operations

2021

    

2020

2021

    

2020

Derivatives designated as hedging instruments:

 

 

  

 

  

 

  

 

  

Foreign currency derivatives

Other income (expense)

$

$

$

$

Total