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FAIR VALUE OF FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS - Fair Value by Level (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Jul. 30, 2017
Jul. 31, 2016
Jul. 30, 2017
Jul. 31, 2016
Oct. 30, 2016
Assets:          
Fair value of assets on a recurring basis $ 6,423   $ 6,423   $ 5,748
Liabilities:          
Fair value of liabilities on a recurring basis 4,716   4,716   3,847
Trading securities, unrealized holding gain (loss) 200 $ 300 (200) $ 100  
Level 1          
Assets:          
Fair value of assets on a recurring basis 4,882   4,882   5,043
Liabilities:          
Fair value of liabilities on a recurring basis 0   0   0
Level 2          
Assets:          
Fair value of assets on a recurring basis 1,541   1,541   705
Liabilities:          
Fair value of liabilities on a recurring basis 4,716   4,716   3,847
Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Liabilities:          
Fair value of liabilities on a recurring basis 0   0   0
Deferred compensation plan liability          
Liabilities:          
Fair value of liabilities on a recurring basis 4,716   4,716   3,847
Deferred compensation plan liability | Level 1          
Liabilities:          
Fair value of liabilities on a recurring basis 0   0   0
Deferred compensation plan liability | Level 2          
Liabilities:          
Fair value of liabilities on a recurring basis 4,716   4,716   3,847
Deferred compensation plan liability | Level 3          
Liabilities:          
Fair value of liabilities on a recurring basis 0   0   0
Total short-term investments in deferred compensation plan          
Assets:          
Fair value of assets on a recurring basis 6,423   6,423   5,748
Total short-term investments in deferred compensation plan | Level 1          
Assets:          
Fair value of assets on a recurring basis 4,882   4,882   5,043
Total short-term investments in deferred compensation plan | Level 2          
Assets:          
Fair value of assets on a recurring basis 1,541   1,541   705
Total short-term investments in deferred compensation plan | Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Money market          
Assets:          
Fair value of assets on a recurring basis 1,246   1,246   422
Money market | Level 1          
Assets:          
Fair value of assets on a recurring basis 1,246   1,246   422
Money market | Level 2          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Money market | Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Growth          
Assets:          
Fair value of assets on a recurring basis 907   907   773
Mutual funds – Growth | Level 1          
Assets:          
Fair value of assets on a recurring basis 907   907   773
Mutual funds – Growth | Level 2          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Growth | Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Blend          
Assets:          
Fair value of assets on a recurring basis 1,857   1,857   3,118
Mutual funds – Blend | Level 1          
Assets:          
Fair value of assets on a recurring basis 1,857   1,857   3,118
Mutual funds – Blend | Level 2          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Blend | Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Foreign blend          
Assets:          
Fair value of assets on a recurring basis 872   872   730
Mutual funds – Foreign blend | Level 1          
Assets:          
Fair value of assets on a recurring basis 872   872   730
Mutual funds – Foreign blend | Level 2          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Foreign blend | Level 3          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Fixed income          
Assets:          
Fair value of assets on a recurring basis 1,541   1,541   705
Mutual funds – Fixed income | Level 1          
Assets:          
Fair value of assets on a recurring basis 0   0   0
Mutual funds – Fixed income | Level 2          
Assets:          
Fair value of assets on a recurring basis 1,541   1,541   705
Mutual funds – Fixed income | Level 3          
Assets:          
Fair value of assets on a recurring basis $ 0   $ 0   $ 0