0001104659-12-082421.txt : 20121206 0001104659-12-082421.hdr.sgml : 20121206 20121206160911 ACCESSION NUMBER: 0001104659-12-082421 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20121027 FILED AS OF DATE: 20121206 DATE AS OF CHANGE: 20121206 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CHRISTOPHER & BANKS CORP CENTRAL INDEX KEY: 0000883943 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-WOMEN'S CLOTHING STORES [5621] IRS NUMBER: 061195422 STATE OF INCORPORATION: DE FISCAL YEAR END: 0128 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-31390 FILM NUMBER: 121246769 BUSINESS ADDRESS: STREET 1: 2400 XENIUM LANE NORTH CITY: PLYMOUTH STATE: MN ZIP: 55441-3626 BUSINESS PHONE: 6125515000 MAIL ADDRESS: STREET 1: 2400 XENIUM LN NORTH CITY: PLYMOUTH STATE: MN ZIP: 55441-3626 FORMER COMPANY: FORMER CONFORMED NAME: BRAUNS FASHIONS CORP DATE OF NAME CHANGE: 19930328 10-Q 1 a12-26414_110q.htm 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

 

o         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 001-31390

 

CHRISTOPHER & BANKS CORPORATION

(Exact name of registrant as specified in its charter)

 

Delaware

 

06 - 1195422

(State or other jurisdiction of

 

(I.R.S. Employer

incorporation or organization)

 

Identification No.)

 

2400 Xenium Lane North, Plymouth, Minnesota

 

55441

(Address of principal executive offices)

 

(Zip Code)

 

(763) 551-5000

(Registrant’s telephone number, including area code)

 

Not Applicable

(Former name, former address and former fiscal year, if changed since last report)

 

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 x  NO o

 

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 o

 

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 12b-2 of the Exchange Act.

 

Large accelerated filer o

 

Accelerated filer x

 

 

 

Non-accelerated filer o

 

Smaller reporting company o

(Do not check if a 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 o  NO x

 

As of November 16, 2012, 36,983,679 shares of the registrant’s common stock were outstanding.

 

 

 



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

 

 QUARTERLY REPORT ON FORM 10-Q

 

TABLE OF CONTENTS

 

 

 

Page

 

 

 

 

PART I –

 

 

FINANCIAL INFORMATION

 

 

 

 

Item 1.

Financial Statements:

 

 

 

 

 

Condensed Consolidated Balance Sheets (Unaudited) As of October 27, 2012 and January 28, 2012

3

 

 

 

 

Condensed Consolidated Statements of Operations (Unaudited) For the Thirteen Weeks Ended October 27, 2012 and November 26, 2011

4

 

 

 

 

Condensed Consolidated Statements of Operations (Unaudited) For the Thirty-nine Weeks Ended October 27, 2012 and November 26, 2011

5

 

 

 

 

Condensed Consolidated Statements of Comprehensive Income (Loss) (Unaudited) For the Thirteen and Thirty-nine Weeks Ended October 27, 2012 and November 26, 2011

6

 

 

 

 

Condensed Consolidated Statements of Cash Flows (Unaudited) For the Thirty-nine Weeks Ended October 27, 2012 and November 26, 2011

7

 

 

 

 

Notes to Condensed Consolidated Financial Statements (Unaudited)

8

 

 

 

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

23

 

 

 

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

38

 

 

 

Item 4.

Controls and Procedures

39

 

 

 

 

PART II –

 

 

OTHER INFORMATION

 

 

 

 

Item 1.

Legal Proceedings

39

 

 

 

Item 1A.

Risk Factors

39

 

 

 

Item 2.

Unregistered Sales of Equity Securities and Use of Proceeds

39

 

 

 

Item 3.

Defaults Upon Senior Securities

40

 

 

 

Item 4.

Mine Safety Disclosures

40

 

 

 

Item 5.

Other Information

40

 

 

 

Item 6.

Exhibits

40

 

 

 

 

Signatures

42

 

 

 

 

Index to Exhibits

43

 

2



Table of Contents

 

PART I — FINANCIAL INFORMATION

 

ITEM 1.

FINANCIAL STATEMENTS

CHRISTOPHER & BANKS CORPORATION

CONDENSED CONSOLIDATED BALANCE SHEETS

(In thousands)

(Unaudited)

 

 

 

October 27,

 

January 28,

 

 

 

2012

 

2012

 

ASSETS

 

 

 

 

 

 

 

 

 

 

 

Current assets:

 

 

 

 

 

Cash and cash equivalents

 

$

33,209

 

$

40,782

 

Short-term investments

 

 

7,660

 

Accounts receivable

 

4,627

 

3,649

 

Merchandise inventories

 

58,186

 

39,455

 

Prepaid expenses

 

2,693

 

3,289

 

Income taxes receivable

 

836

 

1,188

 

Other current assets

 

71

 

 

 

 

 

 

 

 

Total current assets

 

99,622

 

96,023

 

 

 

 

 

 

 

Property, equipment and improvements, net

 

44,964

 

56,443

 

Long-term investments

 

 

13,284

 

Other assets

 

414

 

266

 

 

 

 

 

 

 

Total assets

 

$

145,000

 

$

166,016

 

 

 

 

 

 

 

LIABILITIES AND STOCKHOLDERS’ EQUITY

 

 

 

 

 

 

 

 

 

 

 

Current liabilities:

 

 

 

 

 

Accounts payable

 

$

27,554

 

$

19,466

 

Accrued salaries, wages and related expenses

 

3,823

 

5,831

 

Other accrued liabilities

 

23,520

 

25,566

 

 

 

 

 

 

 

Total current liabilities

 

54,897

 

50,863

 

 

 

 

 

 

 

Non-current liabilities:

 

 

 

 

 

Deferred lease incentives

 

6,240

 

10,546

 

Deferred rent obligations

 

3,148

 

5,294

 

Lease termination liabilities

 

 

8,032

 

Other non-current liabilities

 

1,929

 

1,919

 

 

 

 

 

 

 

Total non-current liabilities

 

11,317

 

25,791

 

 

 

 

 

 

 

Commitments

 

 

 

 

 

 

 

 

 

Stockholders’ equity:

 

 

 

 

 

Preferred stock — $0.01 par value, 1,000 shares authorized, none outstanding

 

 

 

Common stock — $0.01 par value, 74,000 shares authorized, 46,775 and 45,819 shares issued and 36,984 and 36,028 shares outstanding at October 27, 2012 and January 28, 2012, respectively

 

468

 

458

 

Additional paid-in capital

 

118,900

 

117,399

 

Retained earnings

 

72,129

 

84,154

 

Common stock held in treasury, 9,791 shares at cost at October 27, 2012 and January 28, 2012, respectively

 

(112,711

)

(112,711

)

Accumulated other comprehensive income

 

 

62

 

 

 

 

 

 

 

Total stockholders’ equity

 

78,786

 

89,362

 

 

 

 

 

 

 

Total liabilities and stockholders’ equity

 

$

145,000

 

$

166,016

 

 

The accompanying notes are an integral part of these unaudited condensed consolidated financial statements.

 

3



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(In thousands, except per share data)

(Unaudited)

 

 

 

Thirteen Weeks Ended

 

 

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

Net sales

 

$

117,263

 

$

123,896

 

 

 

 

 

 

 

Costs and expenses:

 

 

 

 

 

Merchandise, buying and occupancy

 

75,952

 

97,056

 

Selling, general and administrative

 

32,917

 

37,552

 

Depreciation and amortization

 

4,445

 

5,314

 

Restructuring and impairment

 

333

 

12,199

 

 

 

 

 

 

 

Total costs and expenses

 

113,647

 

152,121

 

 

 

 

 

 

 

Operating income (loss)

 

3,616

 

(28,225

)

Other income

 

6

 

104

 

 

 

 

 

 

 

Income (loss) before income taxes

 

3,622

 

(28,121

)

 

 

 

 

 

 

Income tax provision

 

39

 

118

 

 

 

 

 

 

 

Net income (loss)

 

$

3,583

 

$

(28,239

)

 

 

 

 

 

 

Basic earnings (loss) per share:

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.79

)

 

 

 

 

 

 

Basic shares outstanding

 

35,643

 

35,585

 

 

 

 

 

 

 

Diluted earnings (loss) per share:

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.79

)

 

 

 

 

 

 

Diluted shares outstanding

 

36,030

 

35,585

 

 

 

 

 

 

 

Dividends per share

 

$

 

$

0.06

 

 

The accompanying notes are an integral part of these unaudited condensed consolidated financial statements.

 

4



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(In thousands, except per share data)

(Unaudited)

 

 

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

Net sales

 

$

314,321

 

$

343,957

 

 

 

 

 

 

 

Costs and expenses:

 

 

 

 

 

Merchandise, buying and occupancy

 

222,671

 

246,285

 

Selling, general and administrative

 

94,376

 

107,487

 

Depreciation and amortization

 

14,384

 

17,164

 

Restructuring and impairment

 

(5,161

)

12,199

 

 

 

 

 

 

 

Total costs and expenses

 

326,270

 

383,135

 

 

 

 

 

 

 

Operating loss

 

(11,949

)

(39,178

)

Other income

 

96

 

259

 

 

 

 

 

 

 

Loss before income taxes

 

(11,853

)

(38,919

)

 

 

 

 

 

 

Income tax provision

 

173

 

412

 

 

 

 

 

 

 

Net loss

 

$

(12,026

)

$

(39,331

)

 

 

 

 

 

 

Basic loss per share:

 

 

 

 

 

Net loss

 

$

(0.34

)

$

(1.11

)

 

 

 

 

 

 

Basic shares outstanding

 

35,626

 

35,542

 

 

 

 

 

 

 

Diluted loss per share:

 

 

 

 

 

Net loss

 

$

(0.34

)

$

(1.11

)

 

 

 

 

 

 

Diluted shares outstanding

 

35,626

 

35,542

 

 

 

 

 

 

 

Dividends per share

 

$

 

$

0.18

 

 

The accompanying notes are an integral part of these unaudited condensed consolidated financial statements.

 

5



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)

(In thousands)

(Unaudited)

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Net income (loss)

 

$

3,583

 

$

(28,239

)

$

(12,026

)

$

(39,331

)

 

 

 

 

 

 

 

 

 

 

Other comprehensive income (loss), net of tax:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Unrealized holding gains (losses) on securities arising during period, net of taxes of $0, $13, $1 and $61

 

 

(20

)

(2

)

196

 

 

 

 

 

 

 

 

 

 

 

Less: reclassification adjustment for gains included in net income, net of taxes of $0, $25, $39 and $44

 

 

(39

)

(60

)

(67

)

 

 

 

 

 

 

 

 

 

 

Other comprehensive income (loss)

 

 

(59

)

(62

)

129

 

 

 

 

 

 

 

 

 

 

 

Comprehensive income (loss)

 

$

3,583

 

$

(28,298

)

$

(12,088

)

$

(39,202

)

 

The accompanying notes are an integral part of these unaudited condensed consolidated financial statements.

 

6



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(In thousands)

(Unaudited)

 

 

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

 

 

 

 

 

 

Cash flows from operating activities:

 

 

 

 

 

Net loss

 

$

(12,026

)

$

(39,331

)

Adjustments to reconcile net loss to net cash used in operating activities:

 

 

 

 

 

Depreciation and amortization

 

14,384

 

17,164

 

Amortization of premium on investments

 

11

 

113

 

Amortization of financing costs

 

18

 

 

Deferred lease related liabilities

 

(3,100

)

(1,796

)

Stock-based compensation expense

 

1,536

 

2,158

 

Loss on disposal of assets

 

34

 

 

Impairment of store assets

 

139

 

11,445

 

Gain on investments, net

 

(531

)

(62

)

Changes in operating assets and liabilities:

 

 

 

 

 

Increase in accounts receivable

 

(977

)

(3,533

)

Increase in merchandise inventories

 

(18,732

)

(18,961

)

(Increase) decrease in prepaid expenses

 

595

 

(2,048

)

Decrease in income taxes receivable

 

352

 

5,441

 

Increase in other current assets

 

(71

)

 

Decrease in other assets

 

184

 

36

 

Increase in accounts payable

 

8,088

 

21,090

 

Decrease in accrued liabilities

 

(7,405

)

(4,884

)

Decrease in lease termination liabilities

 

(8,032

)

 

Increase (decrease) in other liabilities

 

10

 

(106

)

 

 

 

 

 

 

Net cash used in operating activities

 

(25,523

)

(13,274

)

 

 

 

 

 

 

Cash flows from investing activities:

 

 

 

 

 

Purchases of property, equipment and improvements

 

(3,113

)

(11,113

)

Proceeds from sale of furniture, fixtures and equipment

 

35

 

 

Purchases of investments

 

 

(35,712

)

Sales of investments

 

21,403

 

57,446

 

 

 

 

 

 

 

Net cash provided by investing activities

 

18,325

 

10,621

 

 

 

 

 

 

 

Cash flows from financing activities:

 

 

 

 

 

Shares redeemed for payroll taxes

 

(25

)

(138

)

Financing costs

 

(350

)

 

Dividends paid

 

 

(6,426

)

 

 

 

 

 

 

Net cash used in financing activities

 

(375

)

(6,564

)

 

 

 

 

 

 

Net decrease in cash and cash equivalents

 

(7,573

)

(9,217

)

 

 

 

 

 

 

Cash and cash equivalents at beginning of period

 

40,782

 

43,712

 

 

 

 

 

 

 

Cash and cash equivalents at end of period

 

$

33,209

 

$

34,495

 

 

The accompanying notes are an integral part of these unaudited condensed consolidated financial statements.

 

7



Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(Unaudited)

 

NOTE 1 — BASIS OF PRESENTATION

 

The unaudited condensed consolidated financial statements included in this Quarterly Report on Form 10-Q have been prepared by Christopher & Banks Corporation and its subsidiaries (collectively referred to as “Christopher & Banks”, “the Company”, “we” or “us”) pursuant to the current rules and regulations of the United States Securities and Exchange Commission.  Certain information and footnote disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed, or omitted, pursuant to such rules and regulations. These unaudited condensed consolidated financial statements should be read in conjunction with the audited financial statements and related notes included in our Transition Report on Form 10-K for the eleven-month transition period ended January 28, 2012.

 

In January 2012, our Board of Directors amended and restated our By-Laws to provide that our fiscal year ends at the close of business on that Saturday which falls closest to the last day of January.  Prior to this change, our fiscal year ended at the close of business on that Saturday which fell closest to the last day of February.  In order to transition to our new fiscal calendar, our last fiscal year was shortened from twelve months to eleven months, resulting in an eleven-month transition period ended January 28, 2012 (the “transition period”).  In this Quarterly Report on Form 10-Q, our current fiscal year, the 53-week period ending February 2, 2013, is referred to as fiscal 2012.

 

The results of operations for the interim periods shown in this report are not necessarily indicative of results to be expected for the full fiscal year.  In the opinion of management, the information contained herein reflects all adjustments, consisting only of normal adjustments, except as otherwise stated in these notes, necessary to present fairly our financial position as of October 27, 2012 and January 28, 2012, our results of operations for the thirteen and thirty-nine-week periods ended October 27, 2012 and November 26, 2011 and our cash flows for the thirty-nine-week periods ended October 27, 2012 and November 26, 2011.

 

Private Label Credit Card Program

 

During the first quarter of fiscal 2012, we launched a private label credit card program with a sponsoring bank which provides for the issuance of credit cards bearing the Christopher & Banks and C.J. Banks brands.  The sponsoring bank manages and extends credit to our customers and is the sole owner of the accounts receivable generated under the program.  As part of the program, we received a signing bonus of $0.5 million from the sponsoring bank and also earn revenue based on card usage by our customers.  The deferred signing bonus is included in other liabilities and is being recognized in net sales ratably over the term of the contract.  The other revenue based on customer usage of the card is recognized in net sales in the periods in which the related customer transaction occurs.  In addition, the sponsoring bank reimburses us for certain marketing expenditures related to the program, subject to an annual cap on the amount of reimbursable expenses.  The amounts related to the private label credit card program pertaining to the thirteen and thirty-nine weeks ended October 27, 2012 were not material to the consolidated financial statements.

 

Recently Adopted Accounting Pronouncements

 

In May 2011, the Financial Accounting Standards Board (the “FASB”) issued Accounting Standards Update (“ASU”) 2011-04, “Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in US GAAP and IFRS.”  ASU 2011-04 amends ASC 820, “Fair Value Measurement,” by expanding existing disclosure requirements for fair value measurements and modifying certain definitions in the guidance, which may change how the fair value measurement guidance of ASC 820 is applied.  The Company adopted ASU 2011-04 effective January 29, 2012.  The adoption of this pronouncement has not had a significant impact on our condensed consolidated financial statements and these changes are not expected to impact the consolidated financial statements in the future.

 

8



Table of Contents

 

In June 2011, the FASB issued ASU 2011-05, “Presentation of Comprehensive Income.”  ASU 2011-05 amends Accounting Standards Codification (“ASC”) 220-10, “Comprehensive Income,” and requires that all changes in comprehensive income be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements and also requires the presentation of reclassification adjustments on the face of the financial statements from other comprehensive income to net income.  The Company adopted ASU 2011-05 effective January 29, 2012.  This pronouncement requires changes in presentation only and thus did not have any impact on our financial position or results of operations.

 

Immaterial Correction of an Error

 

In connection with the preparation of our financial statements for the transition period, we determined that purchases and redemptions of available-for-sale securities, as presented within the investing activities section of our consolidated statement of cash flows, incorrectly included activity related to cash equivalents for the year-to-date periods ended May 28, 2011, August 27, 2011 and November 26, 2011.  We have revised our statement of cash flows for the thirty-nine weeks ended November 26, 2011 presented within this quarterly report on Form 10-Q to accurately reflect purchases and redemptions of available-for-sale securities.  The effect of this revision was a decrease of purchases of available-for-sale securities by $45.6 million and a corresponding decrease of redemptions of available-for-sale securities by $45.6 million. There was no impact on net cash provided by investing activities or cash and cash equivalents or available-for-sale securities, as previously reported.  We have concluded this correction is immaterial to the financial statements taken as a whole.

 

Reclassifications

 

Certain prior year amounts included in other accrued liabilities on the consolidated balance sheets have been reclassified to accounts payable to conform to the current year presentation.  Corresponding reclassifications were made within the operating section of the consolidated statement of cash flows.  These reclassifications have no impact on previously reported net loss, current liabilities or net cash flows from operating activities.  We believe the changes related to merchandise deliveries received, but not yet invoiced, will provide enhanced transparency.

 

In addition, beginning in the second quarter of fiscal 2012, we have classified the change in certain deferred lease-related liabilities (deferred lease incentives and deferred rent obligations) as an adjustment to reconcile net loss to net cash used in operating activities on the consolidated statement of cash flows.  Prior year amounts previously reported as a change in operating assets and liabilities within the operating activities section of the consolidated statement of cash flows have been reclassified to conform to the current year presentation.  The reclassification has no impact on previously reported net cash flows from operating activities.

 

NOTE 2 — CHANGE IN FISCAL YEAR-END

 

As referenced in Note 1, on January 6, 2012, our Board of Directors amended and restated our By-Laws to provide that our fiscal year ends at the close of business on that Saturday which falls closest to the last day of January.  Prior to this change, our fiscal year ended at the close of business on that Saturday which fell closest to the last day of February.

 

9



Table of Contents

 

The table below provides unaudited financial information for the comparable thirteen and thirty-nine-week periods ended October 27, 2012 and October 29, 2011, respectively (in thousands).

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

October 29,

 

October 27,

 

October 29,

 

 

 

2012

 

2011

 

2012

 

2011

 

 

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

Net sales

 

$

117,263

 

$

114,553

 

$

314,321

 

$

330,535

 

Operating income (loss)

 

3,616

 

(13,993

)

(11,949

)

(28,544

)

Income tax provision (benefit)

 

39

 

(133

)

173

 

(139

)

Net income (loss)

 

$

3,583

 

$

(13,749

)

$

(12,026

)

$

(28,131

)

 

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Basic shares outstanding

 

35,643

 

35,578

 

35,626

 

35,527

 

 

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Diluted shares outstanding

 

36,030

 

35,578

 

35,626

 

35,527

 

 

NOTE 3 — RESTRUCTURING AND IMPAIRMENT

 

In the third quarter of the transition period, we announced that, following an in-depth analysis of our store portfolio, the Board approved a plan to close approximately 100 stores, most of which were underperforming.  Ultimately, 103 stores were identified for closure.  This group of stores generated approximately $35 million of sales and store-level operating losses of approximately $11 million, which included approximately $7 million of non-cash impairment charges, on a trailing twelve-month basis through January 28, 2012.

 

Ninety of the 103 stores identified for closure were closed in the transition period.  We closed eleven stores in the first quarter of fiscal 2012 and we closed two additional stores in the second quarter, which completed the store closures related to the restructuring initiative.

 

We recorded total restructuring and asset impairment charges of approximately $21.2 million in the second half of the transition period, consisting primarily of $11.4 million of non-cash asset impairment charges, $8.2 million of net expense related to lease termination liabilities, partially offset by the reduction of deferred obligations related to closed stores, and approximately $1.6 million of severance and miscellaneous other store closing costs.  The lease termination liabilities consisted primarily of the costs of future contractual obligations related to closed store locations.  Discounted liabilities for future lease costs and management’s estimated fair value of assumed subleases of closed locations were recorded when the stores were closed and these amounts have been subject to adjustments as liabilities are settled.  In addition, management has also been negotiating with landlords to mitigate the amount of lease termination liabilities.  As a result, actual settlements have varied substantially from recorded obligations.

 

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In the first quarter of fiscal 2012, we recognized a net benefit of approximately $0.8 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $1.4 million related to 18 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded approximately $0.5 million of additional lease termination liabilities related to three stores closed in the first quarter of fiscal 2012.  In addition, we recorded approximately $0.1 million of non-cash asset impairment charges related to five stores we plan to continue to operate.

 

In the second quarter of fiscal 2012, we recognized a net benefit of approximately $4.7 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $4.9 million related to 35 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded a nominal amount of additional lease termination liabilities related to stores closed in the second quarter of fiscal 2012.  In addition, we recognized approximately $0.2 million of professional services in the second quarter related to the restructuring initiative.

 

In the third quarter of fiscal 2012, we recorded a charge of approximately $0.3 million related to restructuring costs which consisted of approximately $30,000 related to one store where the amount recorded for net lease termination liabilities was less than the actual settlement negotiated with the landlord and approximately $0.3 million related to professional services for lease terminations and renegotiations.  In the third quarter of fiscal 2012, we also reclassified approximately $0.3 million of the remaining long-term portion of the lease termination liability to current accrued liabilities which relates to one store.  We anticipate the lease termination negotiations related to this store will be finalized by the end of fiscal 2012.

 

The following table details restructuring activity for the transition period and the first nine months of fiscal 2012 (in thousands).

 

 

 

 

 

Lease

 

 

 

 

 

 

 

 

 

Severance

 

Termination

 

Asset

 

 

 

 

 

 

 

Accrual

 

Obligations

 

Impairment

 

Other

 

Total

 

Balance, February 26, 2011

 

$

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

11,445

 

 

11,445

 

Restructuring charges

 

1,168

 

8,225

 

 

345

 

9,738

 

Total charges

 

1,168

 

8,225

 

11,445

 

345

 

21,183

 

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(11,445

)

(106

)

(11,551

)

Deferred lease obligations on closed stores

 

 

3,587

 

 

 

3,587

 

Cash payments

 

(310

)

 

 

(239

)

(549

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, January 28, 2012

 

858

 

11,812

 

 

 

12,670

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

139

 

 

139

 

Non-cash adjustments

 

 

(6,263

)

 

 

(6,263

)

Restructuring charges

 

 

314

 

 

342

 

656

 

Total charges (credits)

 

 

(5,949

)

139

 

342

 

(5,468

)

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(139

)

 

(139

)

Deferred lease obligations on closed stores

 

 

244

 

 

 

244

 

Cash payments

 

(858

)

(5,782

)

 

(342

)

(6,982

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, October 27, 2012

 

$

 

$

325

 

$

 

$

 

$

325

 

 

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NOTE 4 — INVESTMENTS

 

The Company had no investments as of October 27, 2012.  Investments consisted of the following (in thousands) as of January 28, 2012:

 

 

 

Jan 28, 2012

 

 

 

Amortized

 

Unrealized

 

Unrealized

 

Estimated

 

Description

 

Cost

 

Gains

 

Losses

 

Fair Value

 

 

 

 

 

 

 

 

 

 

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,643

 

$

19

 

$

2

 

$

5,660

 

U.S. Agency securities

 

2,000

 

 

 

2,000

 

 

 

 

 

 

 

 

 

 

 

Total short-term investments

 

7,643

 

19

 

2

 

7,660

 

 

 

 

 

 

 

 

 

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,200

 

84

 

 

13,284

 

Total long-term investments

 

13,200

 

84

 

 

13,284

 

Total investments

 

$

20,843

 

$

103

 

$

2

 

$

20,944

 

 

We account for our investments in accordance with ASC 320-10, “Investments — Debt and Equity Securities.”  As of January 28, 2012, our available-for-sale investment securities consisted of municipal bonds.  These securities were classified as available-for-sale as we did not enter into these investments for speculative purposes or intend to actively buy and sell the securities in order to generate profits on differences in price.  Our primary investment objective is preservation of principal.  During the first nine months of fiscal 2012, there were no purchases of available-for-sale securities and proceeds from the sale of available-for-sale securities were approximately $21.4 million.  Gross realized gains and losses on the sale of available-for-sale securities during the nine months ended October 27, 2012 were not material.

 

Our available-for-sale securities are reviewed for possible impairment at least quarterly, or more frequently if circumstances arise which, in our estimation, may indicate impairment.  When the fair value of the securities declines below the amortized cost basis, impairment is indicated and it must be determined whether it is other-than-temporary.  Impairment is considered to be other-than-temporary if we (i) intend to sell the security, (ii) will more likely than not be forced to sell the security before recovering its cost, or (iii) do not expect to recover the securities’ amortized cost basis.  If the decline in fair value is considered other-than-temporary, the cost basis of the security is adjusted to its fair market value and the realized loss is reported in earnings.  Subsequent increases or decreases in fair value considered other-than-temporary are reported in equity as other comprehensive income (loss).  There were no other-than-temporary impairments of our available-for-sale securities during the thirty-nine weeks ended October 27, 2012.

 

NOTE 5 — MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY

 

Our merchandise inventories consisted of the following (in thousands):

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

 

 

 

 

 

 

Merchandise - in store/e-Commerce

 

$

52,791

 

$

32,599

 

Merchandise - in transit

 

5,395

 

6,856

 

 

 

$

58,186

 

$

39,455

 

 

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We do not have long-term purchase commitments or arrangements with any of our suppliers or agents.  During the nine months ended October 27, 2012, one of our vendors supplied approximately 18% of our merchandise purchases and another vendor supplied approximately 11% of our merchandise purchases.  For the nine months ended November 26, 2011, one vendor supplied 18% of our merchandise purchases.  No other vendors supplied greater than 10% of our merchandise purchases for the nine months ended October 27, 2012 and November 26, 2011.

 

Although we have strong relationships with these vendors, there can be no assurance that these relationships can be maintained in the future or that the vendors will continue to supply merchandise to us.  If there should be any significant disruption in the supply of merchandise from these vendors, we believe that we will be able to shift production to other suppliers so as to continue to secure the required volume of product.  Nevertheless, it is possible that any significant disruption in supply could have a material adverse impact on our financial position or results of operations.

 

Beginning with its August 2012 merchandise assortment, the Company changed its payment terms from net 30 days to net 45 days from receipt of goods in its distribution center for vendors representing approximately 60% of its merchandise purchases.

 

NOTE 6 — PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET

 

Property, equipment and improvements, net consisted of the following (in thousands):

 

 

 

Estimated

 

October 27,

 

January 28,

 

Description

 

Useful Life

 

2012

 

2012

 

Land

 

 

$

1,597

 

$

1,597

 

Corporate office, distribution center and related building improvements

 

25 years

 

12,322

 

12,319

 

Store leasehold improvements

 

Term of related lease, typically 10 years

 

59,445

 

62,961

 

Store furniture and fixtures

 

3-10 years

 

75,731

 

79,793

 

Corporate office and distribution center furniture, fixtures and equipment

 

7 years

 

5,547

 

5,562

 

Computer and point-of-sale hardware and software

 

3-5 years

 

34,733

 

34,039

 

Construction in progress

 

 

 

705

 

518

 

 

 

 

 

190,080

 

196,789

 

Less accumulated depreciation and amortization

 

 

 

(145,116

)

(140,346

)

Net property, equipment and improvements

 

 

 

$

44,964

 

$

56,443

 

 

We review long-lived assets with definite lives at least annually, or whenever events or changes in circumstances indicate that the carrying value of the asset may not be recoverable.  We recorded $0.1 million for long-lived asset impairment in the quarter ended April, 28, 2012 and no asset impairment charges were recorded in the quarters ended July 28, 2012 and October 27, 2012.  The current challenging economic environment and general economic uncertainty affecting the retail industry make it reasonably possible that long-lived asset impairments could be identified and recorded in future periods.

 

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NOTE 7 — ACCRUED LIABILITIES

 

Other accrued liabilities consisted of the following (in thousands):

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

Gift card and store credit liabilities

 

$

5,208

 

$

9,922

 

Accrued Friendship Rewards Program loyalty liability

 

4,041

 

3,376

 

Accrued income, sales and other taxes payable

 

2,805

 

2,097

 

Accrued occupancy-related expenses

 

969

 

4,549

 

Other

 

10,497

 

5,622

 

 

 

$

23,520

 

$

25,566

 

 

NOTE 8 — CREDIT FACILITY

 

On July 12, 2012, Christopher & Banks Corporation and its two subsidiaries, Christopher & Banks, Inc. and Christopher & Banks Company (collectively the “Borrowers”), entered into a Credit Agreement (the “New Credit Facility”) with Wells Fargo Bank, National Association (“Wells Fargo”) as Lender.  The New Credit Facility replaced our prior credit facility with Wells Fargo.  The New Credit Facility provides us with revolving credit loans of up to $50.0 million in the aggregate, subject to a borrowing base formula based primarily on eligible credit card receivables, inventory and real estate, as defined in the New Credit Facility, and up to $10.0 million of which may be drawn in the form of standby and documentary letters of credit. The New Credit Facility expires in July 2017.

 

We recorded approximately $0.4 million of deferred financing costs in the second quarter of fiscal 2012 in connection with the New Credit Facility.  The deferred financing costs have been recorded within other assets on the consolidated balance sheet and will be amortized as interest expense over the related term of the New Credit Facility.

 

Borrowings under the New Credit Facility will generally accrue interest at a rate ranging from 2.0% to 2.5% over the London Interbank Offered Rate (“LIBOR”) or 1.0% to 1.5% over Wells Fargo’s prime rate, based on the amount of excess availability as such term is defined in the New Credit Facility.  Letters of credit fees range from 1.5% to 2.5%, depending upon excess availability.

 

The New Credit Facility contains certain affirmative and negative covenants.  The affirmative covenants include certain reporting requirements, maintenance of properties, payment of taxes and insurance, compliance with laws, environmental compliance and other provisions customary in such agreements.  Negative covenants limit or restrict, among other things, secured and unsecured indebtedness, fundamental changes in the business, investments, liens and encumbrances, transactions with affiliates and other matters customarily restricted in such agreements.  The sole financial covenant contained in the New Credit Facility requires us to maintain availability at least equal to the greater of (a) ten percent (10%) of the borrowing base or (b) $3.0 million.

 

The New Credit Facility contains events of default that include failure to pay principal or interest when due, failure to comply with the covenants set forth in the New Credit Facility, bankruptcy events, cross-defaults and the occurrence of a change of control, subject to the grace periods, qualifications and thresholds as specified in the New Credit Facility.  If an event of default under the New Credit Facility occurs and is continuing, the loan commitments may be terminated and the principal amount outstanding, together with all accrued unpaid interest and other amounts owing in respect thereof, may be declared immediately due and payable.

 

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Table of Contents

 

Our obligations under the New Credit Facility are secured by the assets of the Company and its subsidiaries pursuant to a Security Agreement, dated July 12, 2012 (the “Security Agreement”).  Pursuant to the Security Agreement, we pledged substantially all of our assets as collateral security for the loans to be made pursuant to the New Credit Facility, including accounts owed to us, bank accounts, inventory, other tangible and intangible personal property, intellectual property (including patents and trademarks), and stock or other evidences of ownership of 100% of all of the Company’s subsidiaries.

 

We had no revolving credit loan borrowings under our previous or New Credit Facility during the first nine months of fiscal 2012 or the entire transition period.  Historically, we have utilized our credit facility only to open letters of credit.  The total borrowing base at October 27, 2012 was $46.4 million.  As of October 27, 2012, we had open on-demand letters of credit of $3.7 million.  Accordingly, after reducing the borrowing base for the open letters of credit and the required minimum availability of $3.0 million, or 10% of the borrowing base, the net availability of revolving credit loans under the New Credit Facility was $38.1 million at October 27, 2012.

 

NOTE 9 — STOCKHOLDERS’ EQUITY AND STOCK-BASED COMPENSATION

 

Dividends

 

In fiscal 2004, our Board of Directors declared our first cash dividend.  The declaration provided for an on-going cash dividend of $0.04 per share to be paid quarterly, subject to Board approval.  In July 2006, our Board of Directors authorized an increase in the quarterly cash dividend to $0.06 per share.  A quarterly dividend was paid each quarter through October 2011.  In December 2011, we announced that our Board of Directors had suspended the payment of a quarterly dividend.

 

Stockholder Rights Plan

 

On July 5, 2012, we adopted a stockholder rights plan (the “Rights Plan”).  The Rights Plan is embodied in the Rights Agreement dated as of July 5, 2012 (the “Rights Agreement”), between the Company and Wells Fargo Bank, National Association (the “Rights Agent”).  On July 5, 2012, the Board of Directors of the Company also authorized the issuance, and declared a dividend, of one preferred share purchase right (a “Right”) for each outstanding share of the Company’s common stock, par value $0.01 per share (the “Common Shares”), outstanding at the close of business on July 16, 2012.

 

Initially, no separate certificates representing the Rights will be issued. Under the Rights Plan, the Rights would be distributed upon the earlier to occur of (i) the tenth day after the first date of public announcement by the Company or an Acquiring Person (an Acquiring Person generally is a person that, together with its affiliates and associates, is the beneficial owner of 15% or more of the outstanding Common Shares) (including, without limitation, pursuant to a report filed or amended pursuant to Section 13(d) of the Exchange Act) that a person has become an Acquiring Person, or such earlier date as a majority of the Board of Directors of the Company shall become aware of the existence of an Acquiring Person (the “Shares Acquisition Date”) or (ii) the tenth day (or such later date as may be determined by action of the Board of Directors of the Company prior to such time as any person becomes an Acquiring Person) after the date of the commencement by any person (other than certain persons, including the Company, any subsidiary of the Company, and Company benefit plan related holders) of a tender or exchange offer upon the successful consummation of which such person, or any affiliate or associate of such person, would be an Acquiring Person (including any such date which is after the date of the Rights Agreement and prior to the issuance of the Rights) (the earlier of such dates, the “Distribution Date”).  Each Right entitles the registered holder to purchase from the Company one one-thousandth (1/1000th) of a share of Series A Junior Participating Preferred Stock, $0.01 par value (the “Preferred Shares”), of the Company at a price of $8.25 (the “Purchase Price”), subject to adjustment. The description and terms of the Rights are set forth in the Rights Agreement between the Company and the Rights Agent.

 

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Table of Contents

 

In the event any person becomes an Acquiring Person, then each holder of a Right, other than Rights beneficially owned by the Acquiring Person and its affiliates and associates (which will thereafter be null and void for all purposes of the Rights Agreement and the holder thereof shall thereafter have no rights with respect to such Rights, whether under the Rights Agreement or otherwise), will thereafter have the right to receive upon exercise, in lieu of Preferred Shares, that number of Common Shares having a market value of two times the Purchase Price. Under some circumstances, upon payment of the Purchase Price, the Company may substitute other equity and debt securities, property, cash or combinations thereof, including combinations with Common Shares, of equal value to the number of Common Shares for which the Right is exercisable.

 

The Rights will expire at 5:00 p.m. (Eastern time) on July 5, 2014 (the “Expiration Date”), unless the Expiration Date is extended or unless the Rights are earlier redeemed or exchanged by the Company, in each case, as described in the Rights Agreement.  Until a Right is exercised, the holder thereof, as such, will have no rights as a stockholder of the Company, including, without limitation, the right to vote or to receive dividends. The foregoing is a summary of the Rights Plan, as filed with the Securities and Exchange Commission in our Form 8-K filing, and is qualified in its entirety by reference to the detailed terms and conditions as set forth in the Rights Plan.

 

Stock-Based Compensation

 

We account for stock-based compensation in accordance with the provisions of ASC 718-10, “Stock Compensation.” Under various plans, we may grant options to purchase common stock to employees and non-employee members of our Board of Directors at a price not less than 100% of the fair market value of our common stock on the option grant date.  In general, options granted to employees vest over three years and are exercisable up to ten years from the date of grant, and options granted to Directors typically vest over a thirty-month period and are exercisable up to ten years from the grant date.

 

We may also grant shares of restricted stock to our employees and non-employee members of our Board of Directors.  The grantee cannot transfer the shares before the respective shares vest.  Shares of nonvested restricted stock are considered to be currently issued and outstanding.  Restricted stock grants to employees generally have original vesting schedules of one to three years, while restricted grants to Directors typically vest over six months.

 

Our restricted stock awards are generally subject to forfeiture if employment or service terminates prior to the lapse of the restrictions.  In addition, certain of our restricted stock awards have performance-based vesting provisions and are subject to forfeiture, in whole or in part, if these performance conditions are not achieved.  We assess, on an ongoing basis, the probability of whether the performance criteria will be achieved and, once it is deemed probable, we begin recognizing compensation expense over the relevant performance period.  For those awards not subject to performance criteria, we expense the cost of the restricted stock awards, which is determined to be the fair market value of the shares at the date of grant, on a straight-line basis over the vesting period.

 

The fair market value of our restricted stock is determined based on the closing price of our common stock on the grant date.  Time-based grants, but not performance-based grants, of restricted stock participated in dividend payments to the extent dividends were declared and paid prior to vesting.  Total pre-tax compensation expense related to stock-based awards for the thirty-nine weeks ended October 27, 2012 and November 26, 2011 was approximately $1.5 million and $2.2 million, respectively.

 

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Table of Contents

 

Methodology Assumptions

 

We use the Black-Scholes option-pricing model to value our stock options for grants to our employees and non-employee directors.  Using this option-pricing model, the fair value of each stock option award is estimated on the date of grant and is expensed on a straight-line basis over the vesting period, as the stock options are subject to pro-rata vesting.  The expected volatility assumption is based on the historical volatility of our stock over a term equal to the expected term of the option granted.  The expected term of stock option awards granted is derived from our historical exercise experience and represents the period of time that awards are expected to be outstanding.  The risk-free interest rate is based on the implied yield on a U.S. Treasury constant maturity with a remaining term equal to the expected term of the option granted.

 

The weighted average assumptions relating to the valuation of our stock options granted during the thirteen and thirty-nine week periods ended October 27, 2012 and November 26, 2011 were as follows:

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Expected dividend yield

 

0.0

%

6.04

%

0.0

%

4.0

%

Expected volatility

 

76.7

%

72.4

%

73.7

%

71.1

%

Risk-free interest rate

 

0.6

%

0.9

%

1.0

%

2.1

%

Expected term in years

 

5.0

 

5.0

 

4.9

 

5.0

 

 

Stock-Based Compensation Activity

 

The following table presents a summary of our stock option activity for the thirty-nine weeks ended October 27, 2012:

 

 

 

 

 

 

 

 

 

 

 

Weighted

 

 

 

 

 

Weighted

 

Aggregate

 

 

 

Average

 

 

 

Number

 

Average

 

Intrinsic

 

Weighted

 

Remaining

 

 

 

of

 

Exercise

 

Value

 

Average

 

Contractual

 

 

 

Shares

 

Price

 

(in thousands)

 

Fair Value

 

Life

 

Outstanding, beginning of period

 

2,826,949

 

$

7.48

 

$

 

$

3.19

 

 

 

Vested

 

1,207,311

 

9.91

 

 

4.01

 

 

 

Unvested

 

1,619,638

 

5.67

 

 

2.58

 

 

 

Granted

 

614,844

 

1.93

 

829

 

1.15

 

 

 

Exercised

 

 

 

 

 

 

 

Canceled - vested (expired)

 

(690,617

)

7.31

 

 

3.06

 

 

 

Canceled - unvested (forfeited)

 

(1,021,942

)

5.56

 

 

2.50

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Outstanding, end of period

 

1,729,234

 

$

6.71

 

$

900

 

$

2.56

 

7.59

 

 

 

 

 

 

 

 

 

 

 

 

 

Vested

 

681,399

 

11.86

 

 

 

4.79

 

5.41

 

Unvested

 

1,047,835

 

3.36

 

900

 

1.71

 

9.01

 

Exercisable, end of period

 

681,399

 

11.86

 

 

4.79

 

5.41

 

 

The aggregate intrinsic value in the preceding table represents the total pre-tax intrinsic value (the difference between our closing stock price on the last trading day of the quarter and the exercise price, multiplied by the number of in-the-money options as of the last trading day of the quarter) that would have been received by the option holders had all option holders exercised their options on October 27, 2012.

 

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Table of Contents

 

The following table presents a summary of our restricted stock activity for the thirty-nine weeks ended October 27, 2012:

 

 

 

Number

 

Weighted

 

 

 

of

 

Average

 

 

 

Shares

 

Fair Value

 

Unvested, beginning of period

 

446,904

 

$

5.03

 

Granted

 

1,075,452

 

1.67

 

Vested

 

(64,745

)

6.62

 

Canceled - unvested (forfeited)

 

(118,862

)

3.75

 

 

 

 

 

 

 

Unvested, end of period

 

1,338,749

 

$

2.37

 

 

The total fair value of shares of restricted stock that vested during the thirty-nine weeks ended October 27, 2012 and November 26, 2011 was approximately $0.4 million and $0.4 million, respectively.  As of October 27, 2012, there was approximately $1.5 million of unrecognized stock-based compensation expense, which is expected to be recognized over a weighted average period of approximately 1.5 years.

 

NOTE 10 — INCOME TAXES

 

As of October 27, 2012, our liability for unrecognized tax benefits associated with uncertain tax positions was approximately $0.9 million and the total amount of unrecognized tax benefits that, if recognized, would affect the effective tax rate was $0.8 million.  We recognize interest and penalties related to unrecognized tax benefits as components of income tax expense.  At October 27, 2012, we had accrued approximately $0.5 million for the potential payment of interest and penalties.

 

We are subject to U.S. federal income tax and the income tax of various state and local jurisdictions.  Fiscal years 2009 through the transition period remain subject to examination by the Internal Revenue Service.  With few exceptions, we are not subject to state income tax examination by tax authorities for taxable years prior to fiscal 2007.  At October 27, 2012, we had ongoing audits in various state jurisdictions.  We do not believe that the resolution of these examinations will have a significant impact on our liability for unrecognized tax benefits.

 

As of October 27, 2012, we had a full valuation allowance against our net deferred tax assets.  Deferred income tax assets represent potential future income tax benefits.  Realization of these assets is ultimately dependent upon future taxable income.  We have incurred a net cumulative loss as measured by the results of the prior three years.  ASC 740 “Income Taxes,” requires that deferred tax assets be reduced by a valuation allowance if, based on all available evidence, it is considered more likely than not that some or all of the recorded deferred tax assets will not be realized in a future period.  Forming a conclusion that a valuation allowance is not needed is difficult when negative evidence such as cumulative losses exists.  As a result of our evaluation, we have concluded that there is insufficient positive evidence to overcome the negative evidence related to our cumulative losses.  Accordingly, we have maintained the full valuation allowance against our net deferred tax assets established in the third quarter of the fiscal year ended February 26, 2011.  Recording the valuation allowance does not prevent us from using the deferred tax assets in the future when profits are realized.

 

As of October 27, 2012, we had federal and state net operating loss carryforwards which may reduce future taxable income.  Approximately $20.9 million in federal tax benefits are available from these loss carryforwards and an additional $0.6 million is available in tax credit carryforwards.  The state loss carryforwards may result in state tax benefits of approximately $2.1 million.  The federal net loss carryforwards expire in November 2031 and beyond.  The state net loss carryforwards will expire beginning in November 2014 and beyond.  Additionally, we have charitable contribution carryforwards that will expire in 2014.

 

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NOTE 11 — EARNINGS PER SHARE

 

We calculate earnings per share under the guidance in ASC 260-10, “Earnings per Share,” which clarifies that unvested share-based payment awards that contain nonforfeitable rights to receive dividends or dividend equivalents (whether paid or unpaid) are considered participating securities, and thus, should be included in the two-class method of computing earnings per share (“EPS”).  Participating securities under this statement include our unvested employee restricted stock awards with time-based vesting, which receive nonforfeitable dividend payments.

 

The calculation of EPS for common stock shown below excludes the income attributable to these unvested employee restricted stock awards from the numerator and excludes the dilutive impact of these shares from the denominator.

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Numerator (in thousands):

 

 

 

 

 

 

 

 

 

Net income (loss) attributable to Christopher & Banks Corporation

 

$

3,583

 

$

(28,239

)

$

(12,026

)

$

(39,331

)

Income allocated to participating securities

 

(61

)

(13

)

 

(39

)

Net income (loss) available to common shareholders

 

$

3,522

 

$

(28,252

)

$

(12,026

)

$

(39,370

)

 

 

 

 

 

 

 

 

 

 

Denominator (in thousands):

 

 

 

 

 

 

 

 

 

Weighted average common shares outstanding - basic

 

35,643

 

35,585

 

35,626

 

35,542

 

Dilutive shares

 

387

 

 

 

 

Weighted average common and common equivalent shares outstanding - diluted

 

36,030

 

35,585

 

35,626

 

35,542

 

 

 

 

 

 

 

 

 

 

 

Net income (loss) per common share:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

Diluted

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

 

Total stock options and restricted shares of 1.1 million 1.8 million were excluded from the shares used in the computation of diluted earnings per share for the thirteen and thirty-nine-week periods ended October 27, 2012, respectively, as they were anti-dilutive.  Total stock options and restricted shares of 2.8 million were excluded from the shares used in the computation of diluted earnings per share for the thirteen and thirty-nine-week periods ended November 26, 2011 as they were anti-dilutive.

 

NOTE 12 — FAIR VALUE MEASUREMENTS

 

Under ASC 820-10, “Fair Value Measurements and Disclosures,” fair value is defined as the exit price, or the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants as of the measurement date.  ASC 820-10 also establishes a hierarchy for inputs used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used when available.  Observable inputs are inputs market participants would use in valuing the asset or liability and are developed based on market data obtained from sources independent of us.  Unobservable inputs are inputs that reflect our assumptions about the factors market participants would use in valuing the asset or liability that are developed based upon the best information available under the circumstances.

 

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The hierarchy is broken down into three levels.  Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities.  Level 2 inputs include quoted 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 inputs (other than quoted prices) that are observable for the asset or liability, either directly or indirectly.  Level 3 inputs are unobservable inputs for the asset or liability.  Categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement.

 

Assets and Liabilities that are Measured at Fair Value on a Recurring Basis:

 

Historically, fair value under ASC 820-10 has applied to our available-for-sale securities.  We had no available-for-sale securities at October 27, 2012.  We did have approximately $20.9 million of available-for-sale securities at January 28, 2012.  These financial assets were carried at fair value following the requirements of ASC 820-10.

 

The following table provides information by level for assets and liabilities that are measured at fair value on a recurring basis (in thousands):

 

 

 

 

 

Fair Value Measurements

 

 

 

Fair Value at

 

Using Inputs Considered as

 

Description

 

January 28, 2012

 

Level 1

 

Level 2

 

Level 3

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,660

 

$

 

$

5,660

 

$

 

U.S. Agency securities

 

2,000

 

 

2,000

 

 

Total current assets

 

7,660

 

 

7,660

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,284

 

 

13,284

 

 

Total non-current assets

 

13,284

 

 

13,284

 

 

Total assets

 

$

20,944

 

$

 

$

20,944

 

$

 

 

Following is a description of the valuation methodologies used for financial assets and liabilities measured at fair value:

 

Available-for-sale securities:  Our available-for-sale securities were valued based on quoted prices for similar assets in active markets or quoted prices for identical or similar assets in markets in which there were fewer transactions.

 

Assets and Liabilities that are Measured at Fair Value on a Non-recurring Basis:

 

 

 

 

 

 

 

 

 

 

 

Realized

 

 

 

Thirty-nine

 

 

 

 

 

 

 

Gains (Losses)

 

 

 

Weeks Ended

 

Fair Value Measurements

 

Thirty-nine

 

 

 

October 27,

 

Using Inputs Considered as

 

Weeks Ended

 

Description

 

2012

 

Level 1

 

Level 2

 

Level 3

 

October 27, 2012

 

Assets:

 

 

 

 

 

 

 

 

 

 

 

Long-lived assets held and used

 

$

34

 

$

 

$

 

$

34

 

$

(139

)

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities:

 

$

 

$

 

$

 

$

 

$

 

 

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In accordance with the provisions of the Impairment or Disposal of Long-Lived Assets Subsections of FASB Codification Subtopic 360-10, long-lived assets held and used with a carrying amount of $172,000 were written down to their fair value of $34,000, during the first quarter of fiscal 2012, resulting in an impairment charge of $139,000 which was included in earnings for the thirty-nine weeks ended October 27, 2012.

 

Our assessment of the recoverability of the carrying value of our assets involves the projection of future cash flows, which requires the use of significant estimates and assumptions.  Differences in circumstances or estimates could produce significantly different results.  The current challenging economic environment which affects the retail industry makes it possible that additional long-lived asset impairments could be identified and recorded in future periods.

 

NOTE 13 — LEGAL PROCEEDINGS

 

We are subject, from time to time, to various claims, lawsuits or actions that arise in the ordinary course of business.  Although the amount of any liability that could arise with respect to any current proceedings cannot, in our opinion, be accurately predicted, the range of reasonably possible losses on these matters, individually and in the aggregate, is not expected to have a material adverse impact on our financial position, results of operations or liquidity.

 

NOTE 14 — SEGMENT REPORTING

 

We operate in the retail apparel industry in which we primarily design, source and sell women’s apparel catering to customers generally ranging in age from 45 to 60 who are typically part of a segment of the female baby boomer demographic.  We have identified two operating segments (Christopher & Banks and C.J. Banks) as defined by ASC 820 “Disclosures about Segments of an Enterprise and Related Information.” Our Christopher & Banks and C.J. Banks operating segments have been aggregated into one reportable segment based on the similar nature of products sold, methods of sourcing, merchandising and distribution processes involved, target customers and economic characteristics of the two operating segments.

 

In the following table, the “Christopher & Banks/C.J. Banks” reportable segment includes activity generated by our Christopher & Banks and C.J. Banks operations.  The “Corporate/Administrative” column, which primarily represents operating activity at our corporate office and distribution center facility, is presented to allow for reconciliation of segment-level net sales, operating income (loss) and total assets to our consolidated net sales, operating income (loss) and total assets.  Segment operating income (loss) includes only net sales, merchandise gross margin and direct store expenses with no allocation of corporate overhead.

 

For the thirty-nine weeks ended October 27, 2012, the Company recorded a net benefit of approximately $5.2 million related to restructuring and impairment of which $0.1 million related to store-level asset impairment charges included in the operating loss for the Christopher & Banks/C.J. Banks segment.  In connection with our restructuring initiative announced in the third quarter of the transition period, we recorded $11.4 million of store-level, non-cash asset impairment charges.

 

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Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirteen Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

117,263

 

$

 

$

117,263

 

Operating income (loss)

 

16,260

 

(12,644

)

3,616

 

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirteen Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

123,896

 

$

 

$

123,896

 

Operating loss

 

(13,917

)

(14,308

)

(28,225

)

Total assets

 

107,599

 

97,195

 

204,794

 

 

Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirty-nine Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

314,321

 

$

 

$

314,321

 

Operating income (loss)

 

23,266

 

(35,215

)

(11,949

)

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirty-nine Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

343,957

 

$

 

$

343,957

 

Operating income (loss)

 

1,460

 

(40,638

)

(39,178

)

Total assets

 

107,599

 

97,195

 

204,794

 

 

NOTE 15 — RELATED PARTY TRANSACTIONS

 

The Company or its subsidiaries have for the past several years made payments to G-III Apparel Group Ltd. (“G-III”) or its related entities primarily related to purchases of apparel and commissions on apparel purchases.  On January 3, 2011, Morris Goldfarb, the Chairman of the Board and Chief Executive Officer of G-III, became a director of the Company.  In the thirty-nine weeks ended October 27, 2012 and November 26, 2011, we paid G-III and its related entities approximately $0.9 million and $2.3 million, respectively.  As of October 27, 2012, the Company had a balance due to G-III of approximately $0.4 million.

 

Other than the relationship noted above, related party transactions are limited to employment or other agreements with certain of our current and former officers, all of which have been previously disclosed.

 

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ITEM 2.

MANAGEMENT’S DISCUSSION AND ANALYSIS OF

FINANCIAL CONDITION AND RESULTS OF OPERATIONS

 

The following management’s discussion and analysis of financial condition and results of operations (“MD&A”) should be read in conjunction with the consolidated financial statements and notes included in Item 1 of this Form 10-Q and the consolidated financial statements, notes and MD&A contained in our Transition Report on Form 10-K for the transition period ended January 28, 2012.

 

Executive Overview

 

Christopher & Banks Corporation, a Delaware corporation, is a Minneapolis-based retailer of women’s apparel and accessories, which operates retail stores through its wholly-owned subsidiaries.  In January 2012, our Board of Directors amended and restated our By-Laws to provide that our fiscal year ends at the close of business on that Saturday which falls closest to the last day of January.  Prior to this change, our fiscal year ended at the close of business on that Saturday which fell closest to the last day of February.  In order to transition to our new fiscal calendar, our last fiscal year was shortened from twelve months to eleven months, resulting in an eleven-month transition period ended January 28, 2012 (the “transition period”).  In this Quarterly Report on Form 10-Q, our current fiscal year, the 53-week period ending February 2, 2013, is referred to as fiscal 2012.

 

As of October 27, 2012, we operated 638 stores in 44 states, including 387 Christopher & Banks stores, 171 C.J. Banks stores, 55 dual concept stores and 25 outlet stores.  Our Christopher & Banks brand offers unique fashions and accessories featuring exclusively designed, coordinated assortments of women’s apparel in sizes 4 to 16 and in petite sizes 4P to 16P.  Our C.J. Banks brand offers similar assortments of plus size women’s apparel in sizes 14W to 26W.  Our dual concept and outlet stores offer an assortment of both Christopher & Banks and C.J. Banks apparel servicing the petite, missy and women-size customer in one location.  We also operate e-Commerce web sites for our two brands at www.christopherandbanks.com and www.cjbanks.com which, in addition to offering the apparel and accessories found in our stores, also offer exclusive sizes and styles available only online.

 

We strive to provide our customers with quality apparel at a reasonable price and a consistent fit.  Our overall strategy for our two brands, Christopher & Banks and C.J. Banks, is to offer a compelling, evolving assortment of unique and classic apparel through our stores and e-Commerce web sites in order to satisfy our customers’ expectations for style, quality, value and fit, while providing exceptional, personalized customer service.

 

Fiscal 2012 Third Quarter Summary

 

We made significant progress on our strategic initiatives, which are more fully described below, in the third quarter of fiscal 2012.  Our total sales increased 2.4% to $117.3 million in the third quarter of fiscal 2012, compared to $114.6 million for the thirteen weeks ended October 29, 2011.  We achieved this increase despite operating an average of 129, or 17%, fewer stores during the quarter than during the comparable period last year.

 

Same store sales increased 13.7% in the third quarter of fiscal 2012, a sequential improvement from the 5.5% increase reported in the second quarter.  We experienced an 11% increase in traffic, slightly higher rates of customer conversion and generated 11% more units per transaction during the third quarter.  This improvement was offset somewhat by an 8% decrease in our average retail selling price per unit, which resulted primarily from a 20% decline in our average retail ticket prices, as we reversed the price increases instituted during last year’s fall and holiday selling seasons.

 

Gross profit grew by 42.1% to $41.3 million in the third quarter of fiscal 2012, as compared to $29.1 million for the comparable period last year.  Gross margin expanded 980 basis points to 35.2% for the thirteen-week period ended October 27, 2012, from 25.4% for the thirteen-week period ended October 29, 2011.  Gross margin also improved sequentially by 750 basis points in the third quarter from 27.7% in the second quarter of fiscal 2012.

 

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The increase in gross margin was attributable to both increased merchandise margins and positive leverage of buying and occupancy costs associated with the 13.7% increase in same store sales.  Gross margin was further improved by the benefit of closing underperforming stores and restructuring rents in existing stores.  The improvement in merchandise margins reflected strong customer acceptance of our product assortments resulting in increased full price selling and accelerated sell-through.

 

We ended the third quarter with cash and cash equivalents of $33.2 million, no long-term debt and no borrowings under our $50 million credit facility.  Total inventory was $58.2 million at October 27, 2012, down approximately 11% compared to $65.3 million at October 29, 2011.  In-store inventory per store, which excludes in-transit and e-commerce inventory, was approximately 13% higher at the end of the third quarter when compared to the same period last year.  The increase in per store inventory levels primarily resulted from a change in our floor set cadence.  By reducing the number of major floor sets from twelve to six per year, we are receiving a greater amount of inventory in the first month of each two-month delivery period.  At October 27, 2012, we had received a greater amount of November product, which is the first month of the November/December floor set, than compared to the amount of November product received at October 29, 2011.  Our inventory balance at the end of the third quarter of fiscal 2012 was current, with approximately 75% of product from more recent deliveries, including October and November merchandise assortments and core product.

 

Other Developments

 

On October 29, 2012, we announced that our Board of Directors had elected LuAnn Via as our President and Chief Executive Officer and as a member of our Board of Directors effective November 26, 2012, Ms. Via’s first date of employment.  Joel Waller, our former President and Chief Executive Officer, ceased serving in such roles as of November 26, 2012 and began serving as a consultant for the Company through June 30, 2013.  Ms. Via has over thirty years of retail experience in a variety of channels, including extensive executive, merchandise and product development responsibilities.  Ms. Via has served as the President and Chief Executive Officer of Payless ShoeSource, Inc., in several capacities for Charming Shoppes, Inc. including as a Group Divisional President for both the Lane Bryant and Cacique brands, as a Vice President, General Merchandise Manager at Sears Holding Company and as a Senior Vice President, General Merchandise Manager of product development at Saks, Inc. Ms. Via also has other executive, merchandising and product development experience.

 

Effective as of October 2, 2012, we entered into an amended and restated agreement with Mr. Waller.  As part of that agreement, Mr. Waller agreed to continue as our President and Chief Executive Officer until March 31, 2013, unless a successor to Mr. Waller as President and Chief Executive Officer had been elected by our Board of Directors and commenced employment prior to March 31, 2013.  In connection with the agreement, we paid Mr. Waller a one-time cash bonus of $150,000.

 

Fiscal 2012 Outlook

 

Our results of operations for the quarter ended October 27, 2012 reflect some early benefits of our new strategic initiatives, including improved same store sales and margin improvement over the second quarter of fiscal 2012 and the comparable period last year, which consisted of the thirteen weeks ended October 29, 2011.  While we anticipate the current heavily promotional environment to continue throughout the remainder of fiscal 2012, we expect to achieve a high-single to low-double-digit increase in same store sales on a percentage basis in the fourth quarter of this fiscal year.  We plan to be less aggressive, yet still competitive, with our promotional activity in the fourth quarter than in the same period last year with a greater focus on optimizing gross profit dollars rather than driving sales with lower gross margins.  As a result, merchandise margins in the fourth quarter are anticipated to exceed levels in the comparable prior year period, while being seasonally lower than in the third quarter of fiscal 2012, which is consistent with our historical quarterly performance trends.

 

As a result of store closings and rent restructurings, we expect approximately 400 to 500 basis points of positive leverage of occupancy expense for the fourteen-week quarter ending February 2, 2013, when compared to the thirteen-week quarter ended January 28, 2012.  We expect selling, general and administrative expenses to be in the range of $36 million to $37 million in the fourteen-week fourth quarter, which includes approximately $1.9 million of expense associated with the 14th week.

 

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Table of Contents

 

We expect that inventory levels in the fourth quarter of fiscal 2012 will be in line with our expected increase in same store sales, with the exception of accelerating some receipts of first quarter merchandise deliveries as a result of the timing of the Chinese New Year holiday which impacts merchandise production and delivery schedules.  Depreciation and amortization is expected to be roughly $18 million and capital expenditures are anticipated to be approximately $5 million for the current full fiscal year.

 

Based on our current plans for fiscal 2012, we believe cash flows from operating activities and working capital will be sufficient to meet our operating and capital expenditure requirements for the remainder of the fiscal year.  We do not anticipate the need to utilize our New Credit Facility for any liquidity needs in the fourth quarter of fiscal 2012, other than to maintain and open letters of credit in the normal course of business.  Our operating plan for the last quarter of fiscal 2012 contemplates positive same store sales and improvements in merchandise margins when compared to the comparable prior-year period.  The plan is dependent on our ability to consistently deliver merchandise that is appealing to our customers at a profitable price and to manage our costs effectively in order to satisfy our working capital and other operating cash requirements.  Our operating plan is based on a number of assumptions which involve significant judgments and estimates of future performance.  If our net sales, gross margins and operating results fall short of our expectations, we may be required to access some, if not all, of our New Credit Facility and potentially require other sources of financing to fund our operations.

 

We will continue to monitor our performance and liquidity and, if we believe it is appropriate or necessary to borrow under the New Credit Facility or obtain additional liquidity, we would first consider taking further steps intended to improve our financial position.  Steps we may consider include modifying our operating plan, seeking to reduce costs further, decreasing our cash spend and/or capital expenditures, as well as evaluating alternatives and opportunities to obtain additional sources of liquidity through the debt or equity markets.  It is possible these actions may not be sufficient or available or, if available, available on terms acceptable to us.

 

Strategic Initiatives

 

Merchandising

 

In the third quarter of the transition period, we reestablished the position of Divisional General Merchandise Manager in our merchandise area.  We added two Divisional General Merchandise Managers, one for the Christopher & Banks division and one for the C.J. Banks division.  One of the Divisional General Merchandise Managers was promoted internally, while the other was a new hire.  Both individuals bring strong retail experience and merchandising discipline to our merchant team.

 

Our merchant team is currently focused on delivering increased net sales and improved gross profit through executing our strategic initiatives described below.  Although these initiatives began in the third and fourth quarters of our transition period, only a minimal amount of our product assortment was impacted in the first quarter of fiscal 2012.  In May, we were able to impact the styling and balance of only a small amount of our assortment.  By July, our new merchant team was able to impact the pricing, number of unique styles offered, order quantities and promotional strategy on approximately half of our merchandise offerings.  Beginning in the third quarter, substantially all of our new merchandise assortments reflected the impact of the initiatives described below:

 

-Provide a balanced merchandise assortment

 

In the third and fourth quarters of the transition period, and the first quarter of fiscal 2012, the majority of our merchandise assortments consisted of styles that were too updated, priced too high and lacking in key product categories.  We provided our customer with too many upscale choices at full-retail prices our customers were unwilling to pay.  As a result, we had a significant increase in markdown levels required to compel our customers to purchase our merchandise and allow us to clear-through slow-selling styles.

 

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Table of Contents

 

Our merchant team was able to begin impacting a portion of our summer fiscal 2012 product and delivered a well-balanced merchandise assortment in the third quarter.  This included editing the number of styles offered, reducing retail ticket prices to levels more in-line with our traditional offerings and providing styles that better align with our customers’ fashion taste.  Our merchants are focusing on building assortments with fewer styles that are more balanced by increasing the amount of ‘good’ and ‘better’ product offerings and decreasing the number of ‘best’ styles.  This involves increasing the penetration of core product in our deliveries, including basic knit layering pieces and classic bottoms, increasing the representation of mid-priced ‘better’ selections, such as printed tees and novelty jackets and sweaters, while reducing the number of higher priced ‘best’ styles.  Our goal is to reduce the overall number of unique styles we carry, allowing us to present a more focused and compelling product assortment with fewer, more relevant selections.

 

-Reduction and simplification of price points

 

We increased our retail ticket prices in the transition period and our customers did not respond positively.  The price increases resulted from elevated commodities costs and providing more intricately constructed styles.  Our customers were highly resistant to the increased price points.  As we moved through fiscal 2012, our goal was to mitigate markdown levels by offering more attractive opening price points and simplifying the number of price points offered to our customers.

 

The change in our approach to pricing supports our ‘good, better, best’ product initiative.  As we increased the penetration of core product offerings in our assortments, we were able to drive sales volume by offering more styles at attractive opening price points that our customers have begun to accept without steep discounting or mark-downs.  In addition, we reduced the number of price points across all categories to simplify the shopping experience.

 

We are committed to offering our customers value.  All styles, including those falling into our ‘better’ and ‘best’ classifications, have been priced at levels that are intended to be more attractive to our customers.  Retail ticket prices for our fall 2012 product deliveries are approximately 20% lower than in the comparable period last year.  We believe that this will continue to result in improved net sales, reduced markdowns and increased gross profit.

 

-Improve inventory flow, speed to market and reduce lead times

 

Historically, we have developed and delivered a full, unique merchandise assortment to our stores on a monthly basis.  In order to simplify and accelerate our product development process, beginning in September 2012, we reduced the number of major product deliveries to our stores by half, to six times annually.  These deliveries reflect increased depth with a greater number of units of key styles.  In order to maintain product freshness, we are supplementing the major deliveries with smaller deliveries of select new colors and styles to all stores on an ongoing basis.

 

We also intend to incorporate more robust product testing efforts into our development process.  At the same time, we continue to work with current and new suppliers to identify opportunities to shorten product lead times, increase efficiencies in merchandise flow and enhance our ability to react more quickly to current selling trends in-season.

 

-Implement a more targeted promotional cadence and markdown strategy

 

We have analyzed our promotional cadence and adjusted our markdown strategy in an effort to minimize and reverse the significant merchandise margin erosion we experienced in the transition period and the first quarter of fiscal 2012.  While we anticipate that, in order to be competitive, we will need to continue to be promotional in fiscal 2012, we are testing and implementing more targeted, unique, pre-planned promotions in an effort to improve merchandise margins and lessen our reliance on storewide promotional events.  In addition, we have adopted a more focused and timely approach to our markdown process that quickly addresses underperforming styles on a unique basis in an effort to utilize our markdowns as efficiently as possible.  We are also placing a greater emphasis on liquidating merchandise in-store and utilizing our Outlet stores as a liquidation channel for older product deliveries rather than utilizing a third party liquidator.

 

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Restructuring/Store Closing Initiative

 

In the third quarter of the transition period, we announced that, following an in-depth analysis of our store portfolio, the Board approved a plan to close approximately 100 stores, most of which were underperforming.  Ultimately, 103 stores were identified for closure.  This group of stores generated approximately $35 million of net sales and store-level operating losses of approximately $11 million, which included approximately $7 million of non-cash impairment charges, on a trailing twelve-month basis through January 28, 2012.  As of October 27, 2012, all 103 of the stores identified in the restructuring initiative had been closed, with the last two closing in the second quarter of fiscal 2012.

 

We recorded total restructuring and asset impairment charges of approximately $21.2 million in the second half of the transition period, consisting primarily of $11.4 million of non-cash asset impairment charges, $8.2 million of net expense related to lease termination liabilities, partially offset by the reduction of deferred obligations related to closed stores, and approximately $1.6 million of severance and miscellaneous other store closing costs.  The lease termination liabilities consisted primarily of the costs of future contractual obligations related to closed store locations.  Discounted liabilities for future lease costs and management’s estimated fair value of assumed subleases of closed locations were recorded when the stores were closed and these amounts have been subject to adjustments as liabilities are settled.  In addition, management has negotiated with landlords to mitigate the amount of lease termination liabilities.  As a result, actual settlements have varied substantially from recorded obligations resulting in a net benefit to the Company in fiscal 2012.

 

In the first quarter of fiscal 2012, we recognized a net benefit of approximately $0.8 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $1.4 million related to 18 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded approximately $0.5 million of additional lease termination liabilities related to three stores closed in the first quarter of fiscal 2012.  In addition, we recorded approximately $0.1 million of non-cash asset impairment charges related to five stores we plan to continue to operate.

 

In the second quarter of fiscal 2012, we recognized a net benefit of approximately $4.7 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $4.9 million related to 35 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded a nominal amount of additional lease termination liabilities related to stores closed in the second quarter of fiscal 2012.  In addition, we recognized approximately $0.2 million of professional services in the second quarter related to the restructuring initiative.

 

In the third quarter of fiscal 2012, we recorded a charge of approximately $0.3 million related to restructuring costs which consisted of approximately $30,000 related to one store where the amount recorded for net lease termination liabilities was less than the actual settlement negotiated with the landlord and approximately $0.3 million related to professional services for lease terminations and renegotiations.  In the third quarter of fiscal 2012, we also reclassified approximately $0.3 million of the remaining long-term portion of the lease termination liability to current accrued liabilities which relates to one store.  We anticipate the lease termination negotiations related to this store will be finalized by the end of fiscal 2012.

 

The following table details restructuring activity for the transition period and the first nine months of fiscal 2012.

 

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Lease

 

 

 

 

 

 

 

 

 

Severance

 

Termination

 

Asset

 

 

 

 

 

 

 

Accrual

 

Obligations

 

Impairment

 

Other

 

Total

 

Balance, February 26, 2011

 

$

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

11,445

 

 

11,445

 

Restructuring charges

 

1,168

 

8,225

 

 

345

 

9,738

 

Total charges

 

1,168

 

8,225

 

11,445

 

345

 

21,183

 

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(11,445

)

(106

)

(11,551

)

Deferred lease obligations on closed stores

 

 

3,587

 

 

 

3,587

 

Cash payments

 

(310

)

 

 

(239

)

(549

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, January 28, 2012

 

858

 

11,812

 

 

 

12,670

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

139

 

 

139

 

Non-cash adjustments

 

 

(6,263

)

 

 

(6,263

)

Restructuring charges

 

 

314

 

 

342

 

656

 

Total charges (credits)

 

 

(5,949

)

139

 

342

 

(5,468

)

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(139

)

 

(139

)

Deferred lease obligations on closed stores

 

 

244

 

 

 

244

 

Cash payments

 

(858

)

(5,782

)

 

(342

)

(6,982

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, October 27, 2012

 

$

 

$

325

 

$

 

$

 

$

325

 

 

Real Estate

 

In addition to the store closing/restructuring initiative, we have reevaluated our overall real estate strategy, including continuing to identify and close underperforming locations and to reduce the number of new store openings.  We began fiscal 2012 with 402 Christopher & Banks stores, 199 C.J. Banks stores, 62 dual stores and 23 outlet stores.  During the first nine months of fiscal 2012, we opened six dual stores and two outlet stores.  All of the dual store openings represented combinations or repositioning of previously existing Christopher & Banks and C.J. Banks store locations in mature markets.  We opened the two outlet locations in markets where we deemed it was strategically important to maintain an outlet store location.  We are not planning additional new store openings in fiscal 2012, with the exception of a few strategic combinations of previously existing locations in mature markets.

 

In addition to the 13 stores closed as part of our restructuring initiative in the first nine months of fiscal 2012, we closed 43 additional stores in the first thirty-nine weeks of the fiscal year.  Currently, we are planning to close 28 more stores in the fourth quarter of fiscal 2012.  Approximately 50% of our leases expire or come up for renewal within the next three fiscal years, which we believe will offer us significant flexibility to restructure occupancy expense further and, if necessary, close additional underperforming stores.  However, in some cases we may need to pay higher rents in order to continue to lease certain locations.

 

In the third quarter of fiscal 2012, we converted eleven dual stores back into Christopher & Banks stores.  We plan to convert an additional 13 dual format stores back to Christopher & Banks stores in the fourth quarter.  While we believe the dual store format represents a growth opportunity in the future, these 24 stores did not have the customer base or adequate square footage to support meaningful assortments of our missy, petite and woman-size merchandise offerings characteristic of our dual concept stores.

 

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Customer/In-store Experience

 

In an effort to drive overall productivity, we continue to strive to enhance our customer experience. We have focused our associates on strengthening our selling culture while providing more knowledgeable selling and personalized service to our customers.  We have reintroduced a selling program that includes a significant focus on grass roots connections with our customers and improving our store associates’ product knowledge.  We also continue to strive to deliver exceptional personalized customer service in a warm and inviting store environment.

 

In addition, we continue to refine and add new visual merchandising elements to our stores to maximize merchandise displays to provide more compelling and clearer product messages.  This is intended to drive increased numbers of new and existing customers into our stores through a more organized presentation of merchandise and product outfitting options.

 

In July, we initiated a 28-store pilot program to test various strategies, including a key item table program, adding more updated fixtures, adjusting inventory and staffing levels and starting a new employee incentive program to improve service and drive conversion.  These stores have experienced greater increases in same store sales and higher levels of conversion than the stores in the balance of the chain.  We will continue to adjust inventory and staffing levels in these stores in order to refine the proper balance necessary to drive productivity.

 

In October, we added 26 additional stores to the pilot program to continue to evaluate how these initiatives will work at stores with differing volume levels.  We plan to add an additional 20 to 30 stores to the program at the beginning of the next fiscal year and intend to roll out various successful strategies from this test to significantly more stores in the future.

 

Marketing

 

We plan to spend approximately 1.2% of our net sales on marketing-related expenditures in fiscal 2012, down from approximately 1.7% of sales in the transition period.  Our marketing efforts continue to be focused on strengthening communication with our customers through e-mail and direct mail.  We plan to execute approximately 10 direct mail campaigns this fiscal year and we continue to utilize a customer relationship management system to track customer transactions and analyze strategic decisions for our e-mail and direct mail initiatives.

 

In the fiscal year ended February 26, 2011, we launched our Friendship Rewards loyalty program.  Friendship Rewards is a point-based program where members earn points based on purchases.  After reaching a certain level of accumulated points, members are rewarded with a certificate which may be applied towards purchases at our stores or web sites.  The program has helped us to build our customer database and we will continue to refine the program to encourage increased purchases by our Friendship Rewards members.

 

Private label credit card program

 

During the first quarter of fiscal 2012, we launched a private label credit card program with a sponsoring bank which provides for the issuance of credit cards bearing the Christopher & Banks and C.J. Banks brands.  The sponsoring bank manages and extends credit to our customers and is the sole owner of the accounts receivable generated under the program.  As part of the program, we received a signing bonus of $0.5 million from the sponsoring bank and also earn revenue based on card usage by our customers.  We are pleased with our customers’ acceptance of the program and, by July 2012, we exceeded our original goal for approved credit-card applications for all of fiscal 2012.  The program has been a successful tool to re-engage customers who had not shopped with us over the past 12 months.  In addition, through the third fiscal quarter the average transaction size on our private label credit card was approximately 52% higher than our overall average store transaction.

 

e-Commerce

 

Over the past few years, we have experienced continued growth in our e-commerce sales.  We are focused on continuing to grow this business channel in fiscal 2012.  We continue to offer extended women’s sizes and petites, plus dresses and outerwear in this channel.

 

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Key Performance Indicators

 

We evaluate the following items, which are considered key performance indicators, in assessing our performance:

 

Same store sales

 

Our same store sales data is calculated based on the change in net sales for stores that have been open for more than 13 full months and includes stores that have been relocated within the same mall.  Stores where square footage has been changed by more than 25 percent are excluded from the same store sales calculation for 13 full months.  In addition, stores which are closed and converted to a different store concept resulting in a significant change in the product mix are also excluded from the calculation of same store sales for 13 full months.  Stores closed during the year are included in the same store sales calculation only for the full months of the year the stores were open.  In addition, sales which are initiated in stores but fulfilled through our e-Commerce websites are included in the calculation of same store sales.

 

We consider same-store sales to be an important indicator of our performance.  Same-store sales results are important in achieving leveraging of costs, including store payroll, store occupancy, depreciation and other general and administrative expenses.  Year-over-year increases in same-store sales contribute to greater leveraging of costs, while declining same-store sales contribute to deleveraging of costs.  Same-store sales results also have a direct impact on our total net sales, cash, cash equivalents, investments and working capital.

 

Merchandise, buying and occupancy costs

 

Merchandise, buying and occupancy costs, exclusive of depreciation and amortization, measure whether we are appropriately optimizing the price of our merchandise.

 

Merchandise, buying and occupancy costs include the cost of merchandise, markdowns, shrink, freight, buyer and distribution center salaries, buyer travel, rent and other occupancy-related costs, various merchandise design and development costs, miscellaneous merchandise expenses and other costs related to our distribution network.

 

Operating income

 

We view operating income as a key indicator of our success.  The key drivers of operating income are same-store sales, merchandise, buying and occupancy costs and our ability to control our other operating costs.

 

Store productivity

 

Store productivity measures, including sales per square foot, average unit retail selling price, average number of transactions per store, number of units per transaction, average retail dollars per transaction, customer traffic and conversion rates are evaluated by us in assessing the operational performance of individual stores.

 

Inventory turnover

 

We evaluate inventory turnover as a measure of how productively inventory is bought and sold.  Inventory turnover is important as it can signal slow-moving inventory, which can be critical in determining the need to take markdowns on merchandise.

 

Cash flow and liquidity

 

We evaluate cash flow from operations, investing activities and financing activities in determining the sufficiency of our cash position.  Cash flow from operations has historically been sufficient to provide for our uses of cash.  We expect to operate our business and execute our strategic initiatives principally with funds generated from operations and, if necessary, from our New Credit Facility, subject to compliance with the financial covenant and its other terms and provisions.

 

Beginning with its August 2012 merchandise assortment, the Company changed its payment terms from net 30 days to net 45 days from receipt of goods in its distribution center for vendors representing approximately 60% of its merchandise purchases.

 

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Based on our current plans for fiscal 2012, we believe cash flows from operating activities and working capital will be sufficient to meet our operating and capital expenditure requirements for the remainder of the fiscal year.  We do not anticipate the need to utilize our New Credit Facility for any liquidity needs in the fourth quarter of fiscal 2012, other than to maintain and open letters of credit in the normal course of business.  Our operating plan for the last quarter of fiscal 2012 contemplates positive same store sales and improvements in merchandise margins when compared to the comparable prior-year period.  The plan is dependent on our ability to consistently deliver merchandise that is appealing to our customers at a profitable price and to manage our costs effectively in order to satisfy our working capital and other operating cash requirements.  Our operating plan is based on a number of assumptions which involve significant judgments and estimates of future performance.  If our net sales, gross margins and operating results fall short of our expectations, we may be required to access some, if not all, of our New Credit Facility and potentially require other sources of financing to fund our operations.

 

We will continue to monitor our performance and liquidity and, if we believe it is appropriate or necessary to borrow under the New Credit Facility or obtain additional liquidity, we would first consider taking further steps intended to improve our financial position.  Steps we may consider include modifying our operating plan, seeking to reduce costs further, decreasing our cash spend and/or capital expenditures, as well as evaluating alternatives and opportunities to obtain additional sources of liquidity through the debt or equity markets.  It is possible these actions may not be sufficient or available or, if available, available on terms acceptable to us.

 

Critical Accounting Policies and Estimates

 

Our critical accounting policies are more fully described in Note 1 of the notes to consolidated financial statements contained within our Transition Report on Form 10-K for the eleven-month transition period ended January 28, 2012.  There have been no material changes in our critical accounting policies or estimates in the thirty-nine weeks ended October 27, 2012.  Management’s discussion and analysis of our financial condition and results of operations are based upon our condensed consolidated financial statements, which have been prepared in accordance with accounting principles generally accepted in the United States of America.

 

Results of Operations

 

The following table sets forth condensed consolidated statement of operations data expressed as a percentage of net sales for the periods indicated:

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Net sales

 

100.0

 

100.0

 

100.0

 

100.0

 

Merchandise, buying and occupancy costs

 

64.8

 

78.3

 

70.8

 

71.6

 

Selling, general and administrative expenses

 

28.1

 

30.3

 

30.0

 

31.3

 

Depreciation and amortization

 

3.8

 

4.3

 

4.6

 

5.0

 

Restructuring and impairment

 

0.2

 

9.9

 

(1.6

)

3.5

 

Operating income (loss)

 

3.1

 

(22.8

)

(3.8

)

(11.4

)

Other income

 

0.0

 

0.1

 

0.1

 

0.1

 

Income tax provision

 

0.0

 

0.1

 

0.1

 

0.1

 

 

 

 

 

 

 

 

 

 

 

Net income (loss)

 

3.1

 

(22.8

)

(3.8

)

(11.4

)

 

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Thirteen Weeks Ended October 27, 2012 Compared to Thirteen Weeks Ended November 26, 2011

 

The results below are for the thirteen-week period ended October 27, 2012, compared to the thirteen-week period ended November 26, 2011, as a result of our fiscal year-end change.

 

Net Sales. Net sales for the thirteen weeks ended October 27, 2012 were $117.3 million, a decrease of approximately $6.6 million, or 5.3%, from $123.9 million for the thirteen weeks ended November 26, 2011.  The decrease in net sales primarily resulted from the shift in our fiscal year-end and our historical sales patterns and trends.  In fiscal 2012, the third fiscal quarter included the months of August, September and October, while the third quarter of the transition period included September, October and November.  Historically, revenues generated in August are lower than most months of the year, while revenues generated in November are higher than most months of the year.  In addition, we operated 638 stores at October 27, 2012, compared to 774 stores as of November 26, 2011.  Approximately 129, or 17%, fewer stores were operated during the third quarter of fiscal 2012, compared to the same period last year.

 

Same store sales increased 13.7% in the third quarter of fiscal 2012 when compared to the thirteen week period ended October 29, 2011.  We experienced an 11% increase in traffic, slightly higher rates of customer conversion and generated 11% more units per transaction during the third quarter.  This improvement was offset somewhat by an 8% decrease in our average retail selling price per unit, which resulted primarily from a 20% decline in our average retail ticket prices, as we reversed the price increases instituted during last year’s fall and holiday selling seasons.

 

Merchandise, Buying and Occupancy Costs.  Merchandise, buying and occupancy costs, exclusive of depreciation and amortization, were $76.0 million, or 64.8% of net sales, during the third quarter of fiscal 2012, compared to $97.1 million, or 78.3% of net sales, during the third quarter of the transition period.  This resulted in an approximate 1,350 basis point increase in our gross profit margin during the quarter compared to the third quarter of the transition period.  The increase in gross margin was attributable to both increased merchandise margins and positive leverage of buying and occupancy costs associated with the benefit of closing underperforming stores and restructuring rents in existing stores.  The improvement in merchandise margins reflected strong customer acceptance of our product assortments resulting in increased full price selling, reduced markdown levels and accelerated product sell-through.

 

Selling, General and Administrative Expenses.  Selling, general and administrative expenses, exclusive of depreciation and amortization, for the thirteen weeks ended October 27, 2012 were $32.9 million, or 28.1% of net sales, compared to $37.6 million, or 30.3% of net sales, for the thirteen weeks ended November 26, 2011, resulting in approximately 220 basis points of positive leverage.  The $4.6 million decrease in selling, general and administrative expenses was driven mainly by a $2.6 million decrease in store selling salaries and other store operating expenses, as we operated an average of 17% fewer stores in the third quarter of fiscal 2012 compared to the third quarter of the transition period.  The remaining savings were related to additional reductions in store payroll, reduced marketing expenditures and savings in medical costs.

 

Depreciation and Amortization.  Depreciation and amortization was $4.4 million, or 3.8% of net sales, in the third quarter of fiscal 2012, compared to $5.3 million, or 4.3% of net sales, in the third quarter of the transition period.  The decrease in depreciation and amortization is primarily the result of operating fewer stores in the third quarter of fiscal 2012, compared to the third quarter of the transition period, combined with a reduction in our depreciable asset base related to the impairment of store assets recorded in the third quarter of the transition period.

 

Restructuring and Impairment.  In the third quarter of fiscal 2012, we recorded a charge of approximately $0.3 million related to restructuring costs which consisted of approximately $30,000 related to one store where the amount recorded for net lease termination liabilities was less than the actual settlement negotiated with the landlord and approximately $0.3 million related to professional services for lease terminations and renegotiations.  Restructuring and impairment charges of approximately $12.2 million were recognized in the third quarter of the transition period when we began our restructuring initiative.

 

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Operating Income (Loss).  As a result of the foregoing factors, we recorded operating income of $3.6 million, or 3.1% of net sales, for the quarter ended October 27, 2012, compared to an operating loss of $28.2 million, or 22.8% of net sales, for the quarter ended November 26, 2011.

 

Income Taxes.  Income tax expense in the third quarter of fiscal 2012 was approximately $39,000, with an effective tax rate of 0.1%, compared to income tax expense of $0.1 million, with an effective tax rate of (0.4%) in the third quarter of the transition period.  Our effective tax rate reflects minimum fees and taxes paid in certain jurisdictions combined with the ongoing impact of the full valuation allowance on our net deferred tax assets.

 

Net Income (Loss).  As a result of the foregoing factors, we recorded a net income of $3.6 million, or 3.1% of net sales and $0.10 per diluted share, for the thirteen weeks ended October 27, 2012, compared to a net loss of $28.2 million, or 22.8% of net sales and $0.79 per diluted share, for the thirteen weeks ended November 26, 2011.

 

Thirty-nine Weeks Ended October 27, 2012 Compared to Thirty-nine Weeks Ended November 26, 2011

 

The results below are for the thirty-nine-week period ended October 27, 2012, compared to the thirty-nine-week period ended November 26, 2011, as a result of our fiscal year-end change.

 

Net Sales. Net sales for the thirty-nine weeks ended October 27, 2012 were $314.3 million, a decrease of approximately $29.6 million, from $344.0 million for the thirty-nine weeks ended November 26, 2011.  The decrease in net sales primarily resulted from the shift in our fiscal year-end and our historical sales patterns and trends.  In fiscal 2012, the first three quarters of the year included the months of February through October, while the first three quarters of the transition period included the months of March through November.  Historically, revenues generated in February are lower than most months of the year, while revenues generated in November are higher than most months of the year.  In addition, we operated 638 stores at October 27, 2012, compared to 774 stores as of November 26, 2011, with the reduction in the number of stores due primarily to the stores closed as part of our restructuring initiative.

 

Same store sales increased 1.5% in the first three quarters of fiscal 2012 when compared to the thirty-nine weeks ended October 29, 2011.  Same store sales declined 14.9% in the first quarter, as increased customer traffic levels were more than offset by a decrease in customer conversion.  This resulted in a 2% decrease in the average number of transactions generated per store.  In addition, our average dollar sale decreased by approximately 13% in the first quarter, driven by declines in both units per transaction and in our average unit retail selling price.  In the second quarter of fiscal 2012, same store sales increased 5.5% as increased customer traffic and relatively flat levels of conversion resulted in an approximate 14% increase in the average number of transactions generated per store.  In addition, our average dollar sale decreased by approximately 8% in the second quarter, mainly driven by a decline in our average unit retail selling price.

 

Same store sales increased 13.7% in the third quarter of fiscal 2012.  We experienced an 11% increase in traffic, slightly higher rates of customer conversion and generated 11% more units per transaction during the third quarter.  This improvement was offset somewhat by an 8% decrease in our average retail selling price per unit, which resulted primarily from a 20% decline in our average retail ticket prices, as we reversed the price increases instituted during last year’s fall and holiday selling seasons.

 

Merchandise, Buying and Occupancy Costs.  Merchandise, buying and occupancy costs, exclusive of depreciation and amortization, were $222.7 million, or 70.8% of net sales, during the thirty-nine-week period ended October 27, 2012, compared to $246.3 million, or 71.6% of net sales, during the thirty-nine-week period ended November 26, 2011, resulting in an 80 basis improvement in gross profit margin.

 

Merchandise margins were essentially flat for the first nine months of fiscal 2012, compared to the first nine months of the transition period.  The 80 basis point improvement in gross profit margin primarily resulted from positive leverage of buying and occupancy expenses associated with the 1.5% increase in same store sales generated in the thirty-nine weeks ended October 27, 2012.  Additionally, occupancy expense benefitted from the underperforming stores closed as part of our restructuring initiative combined with lower rents negotiated in existing stores.

 

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Table of Contents

 

Selling, General and Administrative Expenses.  Selling, general and administrative expenses, exclusive of depreciation and amortization, for the thirty-nine weeks ended October 27, 2012 were $94.4 million, or 30.0% of net sales, compared to $107.5 million, or 31.3% of net sales, for the thirty-nine weeks ended November 26, 2011, resulting in approximately 130 basis points of positive leverage.  The $13.1 million decrease in selling, general and administrative expenses was driven mainly by an $8.3 million decrease in store selling salaries and other store operating expenses, as we operated an average of 15% fewer stores in first three quarters of fiscal 2012 compared to the first three quarters of the transition period.  In addition, we experienced decreases in corporate administrative salaries as a result of cost-cutting measures implemented beginning in October of the transition period, along with decreases in marketing expenditures, medical claims, professional services and travel expenses.

 

Depreciation and Amortization.  Depreciation and amortization was $14.4 million, or 4.6% of net sales, in the thirty-nine-week period ended October 27, 2012, compared to $17.2 million, or 5.0% of net sales, in the thirty-nine weeks ended November 26, 2011.  The decrease in depreciation and amortization is primarily the result of operating fewer stores in the first three quarters of fiscal 2012, compared to the first three quarters of the transition period, combined with a reduction in our depreciable asset base related to the impairment of store assets recorded in the third quarter of the transition period.

 

Restructuring and Impairment.  A net benefit of $5.2 million was recognized during the thirty-nine-week period ended October 27, 2012 related to restructuring and impairment charges. In the first quarter of fiscal 2012, we recognized a net benefit of approximately $0.8 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $1.4 million related to 18 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded approximately $0.5 million of additional lease termination liabilities related to three stores closed in the first quarter of fiscal 2012.  In addition, we recorded approximately $0.1 million of non-cash asset impairment charges related to five stores we plan to continue to operate.

 

In the second quarter of fiscal 2012, we recognized a net benefit of approximately $4.7 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $4.9 million related to 35 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded a nominal amount of additional lease termination liabilities related to stores closed in the second quarter of fiscal 2012.  In addition, we recognized approximately $0.2 million of professional services in the second quarter related to the restructuring initiative.

 

In the third quarter of fiscal 2012, we recorded a charge of approximately $0.3 million related to restructuring costs which consisted of approximately $30,000 related to one store where the amount recorded for net lease termination liabilities was less than the actual settlement negotiated with the landlord and approximately $0.3 million related to professional services for lease terminations and renegotiations.  In the third quarter of fiscal 2012, we also reclassified approximately $0.3 million of the remaining long-term portion of the lease termination liability to current accrued liabilities which relates to one store.  We anticipate the lease termination negotiations related to this store will be finalized by the end of fiscal 2012.

 

Operating Loss.  As a result of the foregoing factors, we recorded an operating loss of $11.9 million, or 3.8% of net sales, for the thirty-nine weeks ended October 27, 2012, compared to an operating loss of $39.2 million, or 11.4% of net sales, for the thirty-nine weeks ended November 26, 2011.

 

Income Taxes.  Income tax expense for the thirty-nine-week period ended October 27, 2012 was $0.2 million, with an effective tax rate of (1.5%), compared to income tax expense of $0.4 million, with an effective tax rate of (1.1%) for the thirty-nine-week period ended November 26, 2011.  Our effective tax rate reflects minimum fees and taxes paid in certain jurisdictions combined with the ongoing impact of the full valuation allowance on our net deferred tax assets.

 

Net Loss.  As a result of the foregoing factors, we recorded a net loss of $12.0 million, or 3.8% of net sales and $0.34 per diluted share, for the thirty-nine weeks ended October 27, 2012, compared to a net loss of $39.3 million, or 11.4% of net sales and $1.11 per diluted share, for the thirty-nine weeks ended November 26, 2011.

 

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Table of Contents

 

Liquidity and Capital Resources

 

Cash flow and liquidity

 

We evaluate cash flow from operations, investing activities and financing activities in determining the sufficiency of our cash position.  Cash flow from operations has historically been sufficient to provide for our uses of cash.  We expect to operate our business and execute our strategic initiatives principally with funds generated from operations and, if necessary, from our New Credit Facility, subject to compliance with the financial covenant and its other terms and provisions.

 

Based on our current plans for fiscal 2012, we believe cash flows from operating activities and working capital to be sufficient to meet our operating and capital expenditures requirements for the remainder of the fiscal year.  We do not anticipate the need to utilize our New Credit Facility for any liquidity needs in the last quarter of fiscal 2012, other than to maintain and open letters of credit in the normal course of business.  Our operating plan for the last three months of fiscal 2012 contemplates positive same store sales and improvements in merchandise margins when compared to the comparable prior-year period.  The plan is dependent on our ability to consistently deliver merchandise that is appealing to our customers at a profitable price and to manage our costs effectively in order to satisfy our working capital and other operating cash requirements.  Our operating plan is based on a number of assumptions which involve significant judgment and estimates of future performance.  If our net sales, gross margins and operating results fall short of our expectations, we may be required to access some, if not all, of our New Credit Facility and potentially require other sources of financing to fund our operations.

 

We will continue to monitor our performance and liquidity and, if we believe it is appropriate or necessary to borrow under the New Credit Facility or obtain additional liquidity, we would first consider taking further steps intended to improve our financial position.  Steps we may consider include modifying our operating plan, seeking to reduce costs further, decreasing our cash spend and/or capital expenditures, as well as evaluating alternatives and opportunities to obtain additional sources of liquidity through the debt or equity markets.  It is possible these actions may not be sufficient or available or, if available, available on terms acceptable to us.

 

Net cash used in operating activities

 

Net cash used in operating activities totaled $25.5 million in the first thirty-nine weeks of fiscal 2012, an increase of approximately $12.3 million from net cash used in operating activities of $13.3 million in the first thirty-nine weeks of the transition period.  While the net loss in the first three quarters of fiscal 2012 was approximately $27.3 million less than the net loss in the first three quarters of the transition period, the net loss in the transition period included a non-cash asset impairment charge of approximately $11.4 million.  In addition, changes in our working capital accounts had a greater negative impact on cash flows from operating activities during the nine months ended October 27, 2012, as compared to the nine months ended November 26, 2011.

 

Significant fluctuations in our working capital accounts in the first thirty-nine weeks of fiscal 2012 included an $18.7 million increase in merchandise inventories, an $8.1 million increase in accounts payable, a $7.4 million decrease in accrued liabilities and an $8.0 million decrease in lease termination liabilities.  Merchandise inventories and accounts payable increased in conjunction with our historical seasonal inventory build for the fall and holiday selling season.  The decrease in accrued liabilities resulted from a reduction in our accrued gift card liability as more gift cards were redeemed than issued in the first thirty-nine weeks of fiscal 2012.  In addition, accrued liabilities declined due to a reduction in the current portion of lease termination liabilities.  The non-current portion of the lease termination liability also declined as we reached termination settlements on all but one of the stores closed as part of our restructuring initiative as of October 27, 2012.

 

The remainder of the change in cash used in operating activities was substantially the result of the net loss realized during the first thirty-nine weeks of fiscal 2012, after adjusting for non-cash charges, including depreciation and amortization, deferred lease related liabilities and stock-based compensation expense, combined with various other changes in our other operating assets and liabilities.

 

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Net cash provided by investing activities

 

Net cash provided by investing activities totaled $18.3 million for the first thirty-nine weeks of fiscal 2012, an increase of $7.7 million from net cash provided by investing activities of $10.6 million during the thirty-nine weeks ended November 26, 2011.  Net cash provided by investing activities in the first thirty-nine weeks of fiscal 2012 consisted of $21.4 million of sales of investments, partially offset by $3.1 million of capital expenditures.  We opened eight new stores in the first nine months of fiscal 2012.  We expect to fund approximately $1.9 million of additional capital expenditures during the remainder of fiscal 2012 related to investments in our information technology infrastructure, visual product displays and fixtures to enhance the visual presentation of our merchandise, and to make other investments in our stores, corporate office and distribution center facility.

 

Net cash used in financing activities

 

Net cash used in financing activities in the first thirty-nine weeks of fiscal 2012 was approximately $0.4 million, a decrease of $6.2 million from $6.6 million of net cash used in financing activities for the thirty-nine weeks ended November 26, 2011.  In the first thirty-nine weeks of the transition period, approximately $6.4 million was used to fund the payment of three quarterly cash dividends.  In December 2011, we announced that the Board suspended the payment of a quarterly dividend.

 

Credit facility

 

On July 12, 2012, Christopher & Banks Corporation and its two subsidiaries, Christopher & Banks, Inc. and Christopher & Banks Company (collectively the “Borrowers”), entered into a Credit Agreement (the “New Credit Facility”) with Wells Fargo Bank, National Association (“Wells Fargo”) as Lender.  The New Credit Facility replaced our prior credit facility with Wells Fargo.  The New Credit Facility provides us with revolving credit loans of up to $50.0 million in the aggregate, subject to a borrowing base formula based primarily on eligible credit card receivables, inventory and real estate, as defined in the New Credit Facility, and up to $10.0 million of which may be drawn in the form of standby and documentary letters of credit. The New Credit Facility expires in July 2017.

 

We recorded approximately $0.4 million of deferred financing costs in the second quarter of fiscal 2012 in connection with the New Credit Facility.  The deferred financing costs have been recorded within other assets on the consolidated balance sheet and will be amortized as interest expense over the related term of the New Credit Facility.

 

Borrowings under the New Credit Facility will generally accrue interest at a rate ranging from 2.0% to 2.5% over the London Interbank Offered Rate (“LIBOR”) or 1.0% to 1.5% over Wells Fargo’s prime rate, based on the amount of excess availability as such term is defined in the New Credit Facility.  Letters of credit fees range from 1.5% to 2.5%, depending upon excess availability.

 

The New Credit Facility contains certain affirmative and negative covenants.  The affirmative covenants include certain reporting requirements, maintenance of properties, payment of taxes and insurance, compliance with laws, environmental compliance and other provisions customary in such agreements.  Negative covenants limit or restrict, among other things, secured and unsecured indebtedness, fundamental changes in the business, investments, liens and encumbrances, transactions with affiliates and other matters customarily restricted in such agreements.  The sole financial covenant contained in the New Credit Facility requires us to maintain availability at least equal to the greater of (a) ten percent (10%) of the borrowing base or (b) $3.0 million.

 

The New Credit Facility contains events of default that include failure to pay principal or interest when due, failure to comply with the covenants set forth in the New Credit Facility, bankruptcy events, cross-defaults and the occurrence of a change of control, subject to the grace periods, qualifications and thresholds as specified in the New Credit Facility.  If an event of default under the New Credit Facility occurs and is continuing, the loan commitments may be terminated and the principal amount outstanding, together with all accrued unpaid interest and other amounts owing in respect thereof, may be declared immediately due and payable.

 

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Our obligations under the New Credit Facility are secured by the assets of the Company and its subsidiaries pursuant to a Security Agreement, dated July 12, 2012 (the “Security Agreement”).  Pursuant to the Security Agreement, we pledged substantially all of our assets as collateral security for the loans to be made pursuant to the New Credit Facility, including accounts owed to us, bank accounts, inventory, other tangible and intangible personal property, intellectual property (including patents and trademarks), and stock or other evidences of ownership of 100% of all of the Company’s subsidiaries.

 

We had no revolving credit loan borrowings under our previous or New Credit Facility during the first nine months of fiscal 2012 or the entire transition period.  Historically, we have utilized our credit facility only to open letters of credit.  The total borrowing base at October 27, 2012 was $46.4 million.  As of October 27, 2012, we had open on-demand letters of credit of $3.7 million.  Accordingly, after reducing the borrowing base for the open letters of credit and the required minimum availability of $3.0 million, or 10% of the borrowing base, the net availability of revolving credit loans under the New Credit Facility was $38.1 million at October 27, 2012.

 

Merchandise Sourcing

 

We directly imported approximately 26% and 15% of our total merchandise purchases during the thirty-nine-week periods ended October 27, 2012 and November 26, 2011, respectively.  Substantially all of our remaining merchandise purchases were made from U.S.-based companies which import a significant amount of goods from overseas.  This reliance on sourcing from foreign countries may cause us to be exposed to certain risks, as indicated below and as discussed in Part I, “Item 1A. Risk Factors” in our Transition Report on Form 10-K for the transition period ended January 28, 2012.

 

Import restrictions, including tariffs and quotas, and changes in such restrictions, could affect the import of apparel and might result in increased costs, delays in merchandise receipts or reduced supplies of apparel available to us, and could have an adverse effect on our financial condition, results of operations and liquidity.  Our merchandise flow could also be adversely affected by political instability in any of the countries where our merchandise is manufactured or by changes in the United States’ governmental policies toward such foreign countries.  In addition, merchandise receipts could be delayed due to interruptions in air, ocean and ground shipments.

 

We do not have long-term purchase commitments or arrangements with any of our suppliers or agents.  During the nine months ended October 27, 2012, one of our vendors supplied approximately 18% of our merchandise purchases and another vendor supplied approximately 11% of our merchandise purchases.  For the nine months ended November 26, 2011, one vendor supplied 18% of our merchandise purchases.  No other vendors supplied greater than 10% of our merchandise purchases for the nine months ended October 27, 2012 and November 26, 2011.

 

Although we have strong relationships with these vendors, there can be no assurance that these relationships can be maintained in the future or that the vendors will continue to supply merchandise to us.  If there should be any significant disruption in the supply of merchandise from these vendors, we believe that we will be able to shift production to other suppliers so as to continue to secure the required volume of product.  Nevertheless, it is possible that any significant disruption in supply could have a material adverse impact on our financial position or results of operations.

 

Beginning with its August 2012 merchandise assortment, the Company changed its payment terms from net 30 days to net 45 days from receipt of goods in its distribution center for vendors representing approximately 60% of its merchandise purchases.

 

Quarterly Results and Seasonality

 

Our quarterly results may fluctuate significantly depending on a number of factors, including general economic conditions, timing of promotional events and new store openings, adverse weather conditions, shifts in the timing of certain holidays and customer response to our seasonal merchandise mix.

 

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Inflation

 

We do not believe that inflation had a material effect on our results of operations for the first three quarters of fiscal 2012.  Throughout the transition period, our merchandise costs were impacted by higher prices for cotton and synthetic fibers, along with increased production labor and transportation costs.  In addition, improvements in quality, construction, and fit also resulted in higher product costs.  Although we passed some of these price increases on to our customers during the transition period ended January 28, 2012, there was considerable resistance to higher prices.

 

Forward-Looking Statements

 

We may make forward-looking statements reflecting our current views with respect to future events and financial performance.  These forward-looking statements, which may be included in reports filed under the Securities Exchange Act of 1934, as amended (the “Exchange Act”), including this Quarterly Report on Form 10-Q, in press releases and in other documents and materials as well as in written or oral statements made by or on behalf of the Company, are subject to certain risks and uncertainties, including those discussed in Item 1A of our Transition Report on Form 10-K for the Transition Period ended January 28, 2012, which could cause actual results to differ materially from historical results or those anticipated.

 

The words or phrases “will likely result,” “are expected to,” “will continue,” “estimate,” “project,” “believe,” “expect,” “should,” “anticipate,” “forecast,” “plans to,” “intend,” “intends” and similar expressions are intended to identify forward-looking statements within the meaning of Section 21e of the Exchange Act and Section 27A of the Securities Act of 1933, as amended, as enacted by the Private Securities Litigation Reform Act of 1995 (“PSLRA”).  In particular, we desire to take advantage of the protections of the PSLRA in connection with the forward-looking statements made in this Quarterly Report on Form 10-Q.

 

Readers are cautioned not to place undue reliance on these forward-looking statements, which speak only as of the date such statements are made.  In addition, we wish to advise readers that the factors listed in Item 1A of our Transition Report on Form 10-K for the Transition Period ended January 28, 2012, as well as other factors, could affect our performance and could cause our actual results for future periods to differ materially from any opinions or statements expressed about such future performance or results.  We undertake no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.

 

ITEM 3.

QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

 

The market risk inherent in our financial instruments and in our financial position represents the potential loss arising from adverse changes in interest rates.  We are potentially exposed to market risk from changes in interest rates relating to our New Credit Facility with Wells Fargo Bank.  Borrowings under the New Credit Facility will generally accrue interest at a rate ranging from 2.0% to 2.5% over the London Interbank Offered Rate (“LIBOR”) or 1.0% to 1.5% over Wells Fargo’s prime rate, based on the amount of excess availability as such term is defined in the New Credit Facility.

 

We enter into certain purchase obligations outside the United States, which are denominated and settled in U.S. dollars.  Therefore, we have only minimal exposure to foreign currency exchange risks.  We do not hedge against foreign currency risks and believe that our foreign currency exchange risk is immaterial.  We do not have any derivative financial instruments and do not hold any derivative financial instruments for trading purposes.

 

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ITEM 4.

CONTROLS AND PROCEDURES

 

(a)         Evaluation of Disclosure Controls and Procedures.

 

Under the supervision and with the participation of our Chief Executive Officer and Chief Financial Officer, management has evaluated the effectiveness and design of our disclosure controls and procedures (as such term is defined in Rules 13a-15(e) and 15d-15(e) under the Exchange Act) as of the end of the period covered by this report (the “Evaluation Date”).  Based upon that evaluation, our Chief Executive Officer and Chief Financial Officer concluded that, as of the Evaluation Date, our disclosure controls and procedures were effective to ensure that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is (i) recorded, processed, summarized and reported within the time periods specified in applicable rules and forms, and (ii) accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, to allow timely decisions regarding required disclosures.

 

(b)         Internal Control Over Financial Reporting.

 

There have not been any changes in our internal control over financial reporting (as such term is defined in Rules 13a-15(f) and 15d-15(f) under the Exchange Act) during the thirteen weeks ended October 27, 2012 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

 

PART II - OTHER INFORMATION

 

ITEM 1.

LEGAL PROCEEDINGS

 

We are subject, from time to time, to various claims, lawsuits or actions that arise in the ordinary course of business.  Although the amount of any liability that could arise with respect to any current proceedings cannot, in our opinion, be accurately predicted, the range of reasonably possible losses on these matters, individually and in the aggregate, is not expected to have a material adverse impact on our financial position, results of operations or liquidity.

 

ITEM 1A.

RISK FACTORS

 

There have been no material changes to the factors discussed in Part I, “Item 1A. Risk Factors” in our Transition Report on Form 10-K for the Transition Period ended January 28, 2012.

 

ITEM 2.

UNREGISTERED SALES OF EQUITY

SECURITIES AND USE OF PROCEEDS

 

 

 

 

 

 

 

Total Number

 

Approximate

 

 

 

 

 

 

 

of Shares

 

Dollar Value

 

 

 

 

 

 

 

Purchased as

 

of Shares that May

 

 

 

Total Number

 

Average

 

Part of Publicly

 

Yet Be Purchased

 

 

 

of Shares

 

Price Paid

 

Announced Plans

 

Under the Plans

 

Period

 

Purchased (1)

 

per Share

 

or Programs

 

or Programs

 

July 29, 2012 - August 25, 2012

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

August 26, 2012 - September 29, 2012

 

2,045

 

$

3.31

 

 

 

 

 

 

 

 

 

 

 

 

 

September 30, 2012 - October 27, 2012

 

 

 

 

 

 

Total

 

2,045

 

$

3.31

 

 

 

 


(1)         The shares of common stock in this column represent shares that were surrendered to us by stock plan participants in order to satisfy minimum withholding tax obligations related to restricted stock awards.

 

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Table of Contents

 

ITEM 3.

DEFAULTS UPON

SENIOR SECURITIES

 

None.

 

ITEM 4.

MINE SAFETY DISCLOSURES

 

Not applicable.

 

ITEM 5.

OTHER INFORMATION

 

None.

 

ITEM 6.

EXHIBITS

 

10.1

 

Amended Agreement between Christopher & Banks Corporation and Joel N. Waller effective as of October 2, 2012 (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K filed October 2, 2012)

 

 

 

10.2

 

Amendment No. 1 effective as of October 2, 2012 to Non-Qualified Stock Option Agreement entered into between the Company and Joel Waller effective December 14, 2011 (incorporated herein by reference to Exhibit 10.2 to Current Report on Form 8-K filed October 2, 2012)

 

 

 

10.3

 

Employment Agreement between Christopher & Banks Corporation and LuAnn Via, dated as of October 29, 2012 (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K filed November 1, 2012)

 

 

 

10.4

 

Annual Incentive Non-Qualified Stock Option Agreement effective as of November 26, 2012 between LuAnn Via and Christopher & Banks Corporation (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K/A filed November 29, 2012)

 

 

 

10.5

 

Long-Term Incentive Non-Qualified Stock Option Agreement effective as of November 26, 2012 between LuAnn Via and Christopher & Banks Corporation (incorporated herein by reference to Exhibit 10.2 to Current Report on Form 8-K/A filed November 29, 2012)

 

 

 

31.1*

 

Certification of Chief Executive Officer pursuant to Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

 

 

31.2*

 

Certification of Chief Financial Officer pursuant to Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

 

 

32.1*

 

Certification of the Chief Executive Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

 

 

32.2*

 

Certification of the Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

40



Table of Contents

 

101^

 

Financial statements from the Quarterly Report on Form 10-Q of Christopher & Banks Corporation for the fiscal quarter ended October 27, 2012, formatted in Extensible Business Reporting Language (“XBRL”): (i) the Condensed Consolidated Balance Sheets, (ii) the Condensed Consolidated Statements of Operations, (iii) the Condensed Consolidated Statements of Comprehensive Income (Loss), (iv) the Condensed Consolidated Statements of Cash Flows and (v) the Notes to Condensed Consolidated Financial Statements

 


* Filed with this report.

 

^ Pursuant to rule 406T of Regulation S-T, these interactive data files are deemed not filed or part of a registration statement or prospectus for purposes of Section 11 or 12 of the Securities Act of 1933 or Section 18 of the Securities Act of 1934 and otherwise are not subject to liability under these sections.

 

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Table of Contents

 

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.

 

 

 

CHRISTOPHER & BANKS CORPORATION

 

 

 

 

Dated:  December 6, 2012

By

/s/ LuAnn Via

 

 

 

LuAnn Via

 

Chief Executive Officer

 

(Principal Executive Officer)

 

 

 

 

Dated:  December 6, 2012

By

/s/ Peter G. Michielutti

 

 

 

Peter G. Michielutti

 

Senior Vice President,

 

Chief Financial Officer

 

(Principal Financial Officer)

 

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Table of Contents

 

CHRISTOPHER & BANKS CORPORATION

QUARTERLY REPORT ON FORM 10-Q

 

INDEX TO EXHIBITS

 

Exhibit No.

 

Description

 

 

 

10.1

 

Amended Agreement between Christopher & Banks Corporation and Joel N. Waller effective as of October 2, 2012 (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K filed October 2, 2012)

 

 

 

10.2

 

Amendment No. 1 effective as of October 2, 2012 to Non-Qualified Stock Option Agreement entered into between the Company and Joel Waller effective December 14, 2011 (incorporated herein by reference to Exhibit 10.2 to Current Report on Form 8-K filed October 2, 2012)

 

 

 

10.3

 

Employment Agreement between Christopher & Banks Corporation and LuAnn Via, dated as of October 29, 2012 (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K filed November 1, 2012)

 

 

 

10.4

 

Annual Incentive Non-Qualified Stock Option Agreement effective as of November 26, 2012 between LuAnn Via and Christopher & Banks Corporation (incorporated herein by reference to Exhibit 10.1 to Current Report on Form 8-K/A filed November 29, 2012)

 

 

 

10.5

 

Long-Term Incentive Non-Qualified Stock Option Agreement effective as of November 26, 2012 between LuAnn Via and Christopher & Banks Corporation (incorporated herein by reference to Exhibit 10.2 to Current Report on Form 8-K/A filed November 29, 2012)

 

 

 

31.1*

 

Certification of Chief Executive Officer pursuant to Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

 

 

31.2*

 

Certification of Chief Financial Officer pursuant to Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

 

 

32.1*

 

Certification of the Chief Executive Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

 

 

32.2*

 

Certification of the Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

 

 

101^

 

Financial statements from the Quarterly Report on Form 10-Q of Christopher & Banks Corporation for the fiscal quarter ended October 27, 2012, formatted in Extensible Business Reporting Language (“XBRL”): (i) the Condensed Consolidated Balance Sheets, (ii) the Condensed Consolidated Statements of Operations, (iii) the Condensed Consolidated Statements of Comprehensive Income (Loss), (iv) the Condensed Consolidated Statements of Cash Flows and (v) the Notes to Condensed Consolidated Financial Statements

 


* Filed with this report.

 

^ Pursuant to rule 406T of Regulation S-T, these interactive data files are deemed not filed or part of a registration statement or prospectus for purposes of Section 11 or 12 of the Securities Act of 1933 or Section 18 of the Securities Act of 1934 and otherwise are not subject to liability under these sections.

 

43


EX-31.1 2 a12-26414_1ex31d1.htm EX-31.1

Exhibit 31.1

 

CERTIFICATION PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, LuAnn Via, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of Christopher & Banks Corporation;

 

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 6, 2012

 

 

/s/ LuAnn Via

 

LuAnn Via
President and

 

Chief Executive Officer

 


EX-31.2 3 a12-26414_1ex31d2.htm EX-31.2

Exhibit 31.2

 

CERTIFICATION PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Peter G. Michielutti, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of Christopher & Banks Corporation;

 

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 6, 2012

 

 

/s/ Peter G. Michielutti

 

Peter G. Michielutti

 

Senior Vice President,
Chief Financial Officer

 


EX-32.1 4 a12-26414_1ex32d1.htm EX-32.1

Exhibit 32.1

 

CERTIFICATION PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

I, LuAnn Via, President and Chief Executive Officer of Christopher & Banks Corporation (the “Company”), certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.  The quarterly report of the Company on Form 10-Q for the period ended October 27, 2012 as filed with the United States Securities and Exchange Commission (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended;  and

 

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

 

 

Date: December 6, 2012

 

 

 

 

 

 

By:

/s/ LuAnn Via

 

 

LuAnn Via
President and
Chief Executive Officer

 


EX-32.2 5 a12-26414_1ex32d2.htm EX-32.2

Exhibit 32.2

 

CERTIFICATION PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Peter G. Michielutti, Senior Vice President, Chief Financial Officer of Christopher & Banks Corporation (the “Company”), certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.  The quarterly report of the Company on Form 10-Q for the period ended October 27, 2012 as filed with the United States Securities and Exchange Commission (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended;  and

 

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

 

 

Date: December 6, 2012

 

 

 

 

 

 

By:

/s/ Peter G. Michielutti

 

 

Peter G. Michielutti
Senior Vice President,
Chief Financial Officer

 


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The Company adopted ASU 2011-04 effective January&#160;29, 2012.&#160; The adoption of this pronouncement has not had a significant impact on our condensed consolidated financial statements and these changes are not expected to impact the consolidated financial statements in the future.</font></p> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p> <p style="MARGIN: 0in 0in 0pt; TEXT-INDENT: 0.5in"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">In June&#160;2011, the FASB issued ASU 2011-05, &#8220;Presentation of Comprehensive Income.&#8221;&#160; ASU 2011-05 amends Accounting Standards Codification (&#8220;ASC&#8221;) 220-10, &#8220;Comprehensive Income,&#8221; and requires that all changes in comprehensive income be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements and also requires the presentation of reclassification adjustments on the face of the financial statements from other comprehensive income to net income.&#160; 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PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.06%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="12%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.52%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.06%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="12%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 1pt; 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FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 40.7%; PADDING-TOP: 0in" valign="bottom" width="40%"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Net income (loss) attributable to Christopher&#160;&amp; Banks Corporation</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.52%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.3%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; 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PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.52%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">)</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.3%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 10.76%; PADDING-TOP: 0in" valign="bottom" width="10%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">(12,026</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.52%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">)</font></p></td> <td style="PADDING-RIGHT: 0in; 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FONT-FAMILY: Times New Roman" size="2">)</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.06%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">(13</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0.375pt; WIDTH: 2.52%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">)</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.06%; PADDING-TOP: 0in; 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PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">13,284</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; 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0pt">&#160;</p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.3%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 12.78%; PADDING-TOP: 0in" valign="bottom" width="12%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">5,660</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 0.94%; PADDING-TOP: 0in" valign="bottom" width="0%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt">&#160;</p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.94%; PADDING-TOP: 0in" valign="top" 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Share Based Compensation Arrangement by Share Based Payment Award, Options, Expirations in Period, Weighted Average Fair Value Canceled (expired) (in dollars per share) Represents the weighted average fair value of the options expired during the period. Share Based Compensation Arrangement by Share Based Payment Award, Options, Forfeitures in Period, Weighted Average Fair Value Canceled (forfeited) (in dollars per share) Represents the weighted average fair value of the options forfeited during the period. Selling, Administrative and General Expenses The aggregate total costs related to selling a firm's product and services, as well as all other general and administrative expenses, excluding rent and utilities. Selling, general and administrative Accrued occupancy-related expenses Accrued Occupancy Related Expenses, Current Carrying value as of the balance sheet date of obligations incurred through that date and payable for occupancy related expenses. These expenses may include contractual rent, utilities, lease termination fees, and other occupancy related costs. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). CHANGE IN FISCAL YEAR-END Change in Fiscal Year Disclosure [Text Block] Disclosure of change in an entity's fiscal year or other fiscal period. This disclosure may include identification of the fiscal period end-date, the length of the fiscal period, any reporting period lag between the entity and its subsidiaries, or equity investees. CHANGE IN FISCAL YEAR-END Schedule of Comparable Financial Information, Restated for Change in Fiscal Year End [Table Text Block] Schedule of unaudited financial information Tabular disclosure of comparable financial information, including earnings per share data, restated for change in fiscal year end. G III Apparel Group Ltd and Related Entities [Member] G-III and its related entities Represents information pertaining to G-III Apparel Group Ltd. and its related entities. G III Apparel Group Ltd [Member] G-III Represents information pertaining to G-III Apparel Group Ltd. Private Label, Credit Card Program, Signing Bonus Received Signing bonus received Represents the amount of signing bonus received under the private label credit card program. Adjustment of Error Related to Cash Equivalents [Member] Correction of error related to cash equivalents Represents the adjustment of error related to cash equivalents. Individual Vendor [Member] No other vendor Represents information pertaining to an individual vendor. Computer and Point of Sale, Hardware and Software [Member] Computer and point-of-sale hardware and software Represents the long-lived, depreciable assets that are used in the creation, maintenance and utilization of information systems and collection of computer programs and related data that provides instructions to a computer. Represents the current portion of the liability for inventory receipts not invoiced, as of the balance sheet date. Accrued merchandise inventory receipts not yet invoiced Accrued Inventory, Receipts not Yet Invoiced Share Based Compensation Arrangement by Share Based Payment Award, Period from Grant Date for which Shares cannot be Transferred Period from the date of grant for which shares cannot be transferred Represents the period from the date of grant for which shares cannot be transferred. Minimum required inventory turns ratio Represents the minimum required inventory turns ratio to be maintained, as per the financial covenants. Debt Instrument, Covenant Minimum Required Inventory Turns Ratio Period Considered for Measurement of Net Cumulative Loss Period considered for measuring net cumulative loss Represents the period considered for measuring net cumulative loss. Debt Instrument, Covenant Maximum Line Amount Available as Percentage of Net Orderly Liquidation, Value of Eligible Inventory Maximum line amount available as a percentage of net orderly liquidation value of eligible inventory Represents the maximum line amount that will be available, as a percentage of net orderly liquidation value of eligible inventory, as per the financial covenants. Debt Instrument, Covenant Maximum Line Amount Available as Percentage of Eligible Inventory Maximum line amount available as a percentage of eligible inventory Represents the maximum line amount that will be available, as a percentage of eligible inventory, as per the financial covenants. Available-for-sale Securities, Gross Unrealized Gains Unrealized Gains Minimum required cash and investments on hand at the end of the first quarter Represents the minimum required cash and investments on hand to be maintained at the end of the first fiscal quarter, as per the financial covenants. Debt Instrument, Covenant Minimum Required Cash and Investments on Hand for First Fiscal Quarter Minimum required cash and investments on hand at the end of the second quarter Represents the minimum required cash and investments on hand to be maintained at the end of the second fiscal quarter, as per the financial covenants. Debt Instrument, Covenant Minimum Required Cash and Investments on Hand for Second Fiscal Quarter Minimum required cash and investments on hand at the end of each quarter thereafter Represents the minimum required cash and investments on hand to be maintained at the end of each quarter thereafter, as per the financial covenants. Debt Instrument, Covenant Minimum Required Cash and Investments on Hand Thereafter for Each Quarter Long Lived Assets, Held and Used, Fair Value Long-lived assets held and used Represents the fair value of long-lived assets which are held and used for normal operations of business and not for sale. Fair value of long-lived assets held and used Long Lived Assets, Held and Used, Carrying Amount Carrying amount of long-lived assets held and used Represents the carrying amount of long-lived assets which are held and used for normal operations of business and not for sale. Age of customers for sale of women's apparel Represents the age of customers for sale of women's apparel. Age of Customers for Sale of Women's Apparel Information by type of period for adjusted available amount under the credit facility. Credit Facility, Period for Adjusted Available Amount [Axis] Represents period of the adjusted available amount under the credit facility. Credit Facility, Period for Adjusted Available Amount [Domain] Represents the adjusted maximum line amount available between December 1 and August 31 of each calendar year under the amended facility. Maximum Line of Credit Facility, Available Between December 1 and August 31 [Member] Maximum line amount available between December 1 and August 31 Represents the adjusted maximum line amount available between September 1 and November 30 of each calendar year under the amended facility. Maximum Line of Credit Facility, Available Between September 1 and November 30 [Member] Maximum line amount available between September 1 and November 30 Debt Instrument Covenant Minimum Required Inventory Turns Ratio Before Amendment Minimum required inventory turns ratio before amendment Represents the minimum required inventory turns ratio to be maintained before the amendment, as per the financial covenants. Debt Instrument Covenant Minimum Required Inventory Turns Ratio for Each Fiscal Quarter after Specific Period Minimum required inventory turns ratio for each fiscal quarter ending after a specific period Represents the minimum required inventory turns ratio to be maintained for each fiscal quarter ending after a specific period, as per the financial covenants. Number of Stores to be Closed Per Board Approved Plan Number of stores to be closed per plan approved by the Board Represents the number of stores to be closed per plan approved by the Board. Operating Income (Loss) from Stores Identified for Closure Store-level operating losses from the stores identified for closure Represents the operating losses related to the stores of the entity that were identified for closure. Number of Stores Identified for Closure Number of stores identified for closure Represents the number of stores identified for closure. Revenue from Stores Identified for Closure Sales from the stores identified for closure Represents the revenue from the stores of the entity that were identified for closure. Number of Stores Closed Number of stores closed Represents the number of stores closed during the period. Number of Remaining Stores Expected to be Closed Number of remaining stores expected to be closed Represents the number of remaining stores expected to be closed during the period. Severance and Other Miscellaneous Costs Severance and miscellaneous other store closing costs Represents the charge against earnings during the period related to severance and other miscellaneous store closing costs. Number of Stores for which Net Lease Termination Liabilities Exceeded Actual Settlements Negotiated Number of stores for which net lease termination liabilities exceeded the actual settlements negotiated Represents the number of stores for which net lease termination liabilities exceeded the actual settlements negotiated. Additional Deferred Lease Obligations on Closed Stores Additional lease termination liabilities related to closed stores Represents the additional lease termination liabilities related to closed stores of the entity. Lease Termination Obligations [Member] Lease Termination Obligations Represents information pertaining to lease termination obligations of the entity. Asset Impairment [Member] Asset Impairment Represents information pertaining to asset impairment charges of the entity. Deferred Lease Obligations on Closed Stores Deferred lease obligations on closed stores Represents the deferred lease obligations on closed stores during the period. Standby and Documentary Letters of Credit [Member] Standby and documentary letters of credit Represents information pertaining to the standby and documentary letters of credit. Debt Instrument Number of Subsidiary Borrowers Number of subsidiary borrowers under the credit agreement Represents the number of subsidiary borrowers under the credit agreement. Letters of Credit Fees Percentage Letters of credit fees (as a percent) Represents the percentage of letter of credit fees under the credit agreement. Debt Instrument Covenant Borrowing Availability Requirement as Percentage of Borrowing Base Percentage of borrowing base Represents the borrowing availability as a percentage of the borrowing base, under the covenant terms of the credit facility. Debt Instrument Covenant Borrowing Availability Requirement Amount Borrowing availability Represents the amount of borrowing availability under the covenant terms of the credit facility. Stockholder Rights Plan [Member] Rights Plan Represents information pertaining to the stockholder Rights Plan. Series A Junior Participating Preferred Stock [Member] Series A Junior Participating Preferred Stock Represents the Series A Junior Participating Preferred Stock. Entity Well-known Seasoned Issuer Number of preferred share purchase rights issued as a dividend against each outstanding share of common stock Represents the number of preferred share purchase rights issued as a dividend against each outstanding share common stock. Common Stock Number of Preferred Share Purchase Rights Issued as Dividend Entity Voluntary Filers Preferred Share Purchase Right Conversion Ratio Preferred share purchase right conversion basis The ratio applied to preferred share purchase right for purposes of determining the number of preferred stock into which the preferred share purchase right will be converted. Entity Current Reporting Status Period after First Date of Public Announcement by Company or Acquiring Person Rights Available for Distribution Period after the first date of public announcement by the Company or an acquiring person, rights available for distribution Represents the period after the first date of public announcement by the Company or an acquiring person, rights are available for distribution. Entity Filer Category Period after Date of Commencement by Any Person of Tender or Exchange Offer Rights Available for Distribution Period after the date of the commencement by any person of a tender or exchange offer, rights available for distribution Represents the period after the date of commencement by any person of a tender or exchange offer, rights are available for distribution. Entity Public Float Beneficial Ownership Percentage of Acquiring Person Beneficial ownership percentage of acquiring person Represents the percentage of beneficial ownership of outstanding commons shares held by acquiring person together with its affiliates and associates. Entity Registrant Name Number of Times of Market Value of Preferred Stock Entitled by Right Holders Number of times of market value of preferred stock entitled by right holders Represents the number of times of market value of preferred stock entitled by rights holders, in the event any person becomes an acquiring person. Entity Central Index Key Restructuring Related Professional Fees Restructuring related professional fees Represents the fees charged for professional services pertaining to restructuring related activities. Net Benefit Related to Restructuring and Impairment Costs Net benefit related to restructuring and impairment costs Represents the net benefit recognized from restructuring and impairment costs. Deferred Lease Related Liabilities Deferred lease related liabilities Represents impact on cash flow operating activities due to change in value of deferred lease incentives and deferred rent obligations. Net Lease Liabilities in Excess of Settlements Negotiated Represents amount recorded for net lease termination liabilities in excess of the actual settlements. Net lease liabilities in excess of actual settlements negotiated Entity Common Stock, Shares Outstanding Merchandise Purchases, Payment Terms Payment terms on merchandise purchases Represents the net payment terms on merchandise purchases from receipt of goods in the entity's distribution center. Revised Merchandise Purchases Payment Terms Revised payment terms on certain merchandise purchases Represents the revised net payment terms on merchandise purchases from receipt of goods in the entity's distribution center. Percentage of Merchandise Purchases Impacted by Change in Payment Terms Percentage of merchandise purchases impacted by change in payment terms Represents the percentage of merchandise purchases impacted by the change in payment terms. Represents amount recorded for net lease termination liabilities was less than the actual settlements. Net Lease Liabilities Less than from Settlements Negotiated Net lease liabilities less than from actual settlements negotiated Number of stores for which net lease termination liabilities was less than from the actual settlements negotiated Represents the number of stores for which net lease termination liabilities was less than from the actual settlements negotiated. Number of Stores for which Net Lease Termination Liabilities was Less than from Settlements Negotiated Lease Termination Liability Reclassified from Long Term Portion to Current Accrued Liabilities Lease termination liability reclassified from long term portion to current accrued liabilities Represents the amount of lease termination liability reclassified from long term portion to current accrued liabilities. Number of Stores for which Net Lease Termination Liabilities was Reclassified Number of stores for which net lease termination liabilities was reclassified Represents the number of stores for which net lease termination liabilities was reclassified. Accounts Payable and Accrued Liabilities Disclosure [Text Block] ACCRUED LIABILITIES Document Fiscal Year Focus Document Fiscal Period Focus Document Type Accounts payable Accounts Payable, Current ACCRUED LIABILITIES Gift Card Liability, Current Gift card and store credit liabilities Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Less accumulated depreciation and amortization Accumulated other comprehensive income Accumulated Other Comprehensive Income (Loss), Net of Tax Additional paid-in capital Additional Paid in Capital Adjustments, Noncash Items, to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Adjustments to reconcile net loss to net cash used in operating activities: Allocated Share-based Compensation Expense Pre-tax stock-based compensation expense Amortization of Financing Costs Amortization of financing costs Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Stock options excluded from the shares used in the computation of diluted earnings per share Asset Impairment Charges Asset impairment charges Non-cash impairment charges Non-cash assets impairment charges Assets, Fair Value Disclosure Total assets Current assets: Assets, Current [Abstract] ASSETS Assets [Abstract] Total current assets Assets, Current Total assets Assets Total assets Available-for-sale Securities, Fair Value Disclosure Estimated Fair Value Available-for-sale Securities, Debt Maturities, Next Rolling Twelve Months, Fair Value One year or less Available-for-sale Securities, Debt Securities Total investment securities Available-for-sale Securities, Current Total current assets Available-for-sale Securities, Gross Unrealized Losses Unrealized Losses Available-for-sale Securities, Debt Maturities, Fair Value, Rolling Maturity [Abstract] Expected maturities of the Company's investments Available-for-sale Securities, Amortized Cost Basis Amortized Cost Available-for-sale Securities, Noncurrent Total non-current assets Building and Building Improvements [Member] Corporate office, distribution center and related building improvements Business Description and Basis of Presentation [Text Block] BASIS OF PRESENTATION Accrued purchases of equipment and improvements Capital Expenditures Incurred but Not yet Paid Cash and cash equivalents Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents at beginning of period Cash and cash equivalents at end of period Class of Stock [Domain] Commercial Paper [Member] Commercial Paper Commitments and Contingencies Disclosure [Text Block] LEGAL PROCEEDINGS LEGAL PROCEEDINGS Commitments Commitments and Contingencies Common Stock, Shares, Outstanding Common stock, shares outstanding Common stock - $0.01 par value, 74,000 shares authorized, 46,775 and 45,819 shares issued and 36,984 and 36,028 shares outstanding at October 27, 2012 and January 28, 2012, respectively Common Stock, Value, Issued Common Stock, Shares, Issued Common stock, shares issued Common Stock, Par or Stated Value Per Share Common stock, par value (in dollars per share) Common Stock, Shares Authorized Common stock, shares authorized Common Stock, Dividends, Per Share, Cash Paid Dividends per share (in dollars per share) COMPREHENSIVE INCOME (LOSS) Comprehensive Income (Loss), Net of Tax, Attributable to Parent Comprehensive income (loss) Comprehensive Income (Loss) Note [Text Block] COMPREHENSIVE INCOME (LOSS) Concentration Risk Type [Domain] Concentration Risk [Line Items] MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY Concentration Risk Benchmark [Domain] Concentration Risk [Table] Concentration Risk Benchmark [Axis] Concentration Risk Type [Axis] Concentration Risk, Percentage Percentage of material supplied Construction in Progress [Member] Construction in progress Corporate [Member] Corporate/ Administrative Merchandise, buying and occupancy Cost of Merchandise Sales, Buying and Occupancy Costs Costs and Expenses [Abstract] Costs and expenses: Costs and Expenses Total costs and expenses Credit Facility [Domain] Credit Facility [Axis] Accrued Friendship Rewards Program loyalty liability Customer Loyalty Program Liability, Current Debt Instrument, Description of Variable Rate Basis Reference rate, description CREDIT FACILITY Debt Disclosure [Text Block] CREDIT FACILITY Debt Instrument, Basis Spread on Variable Rate Interest rate added to the reference rate (as a percent) Title of Individual [Axis] Deferred rent obligations Deferred Rent Credit, Noncurrent Deferred financing costs Deferred Finance Costs, Gross Deferred Income Tax Expense (Benefit) Deferred income taxes Deferred Tax Assets, Net Net deferred tax assets Deferred Tax Assets, Net of Valuation Allowance, Current Current deferred tax asset Deferred Tax Assets, Net of Valuation Allowance, Noncurrent Deferred tax asset Depreciation, Depletion and Amortization, Nonproduction Depreciation and amortization Director [Member] Directors Disclosure of Compensation Related Costs, Share-based Payments [Text Block] STOCK-BASED COMPENSATION STOCK-BASED COMPENSATION Dividends Payable, Amount Per Share Quarterly cash dividend (in dollars per share) Due to Related Parties Balance due to related party Earnings Per Share, Basic [Abstract] Basic earnings (loss) per share: Earnings Per Share, Diluted Net income (loss) (in dollars per share) Diluted (in dollars per share) Net loss (in dollars per share) Earnings Per Share, Diluted [Abstract] Diluted earnings (loss) per share: Earnings Per Share, Basic and Diluted [Abstract] Net income (loss) per common share: Earnings Per Share, Basic Net income (loss) (in dollars per share) Basic (in dollars per share) Net loss (in dollars per share) Earnings Per Share [Text Block] EARNINGS PER SHARE EARNINGS PER SHARE Accrued salaries, wages and related expenses Employee-related Liabilities, Current Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized, Period for Recognition Weighted average period for recognition of unrecognized stock-based compensation expense Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized Unrecognized stock-based compensation expense Employee Severance [Member] Severance Accrual STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION Estimate of Fair Value, Fair Value Disclosure [Member] Fair Value Excess Tax Benefit (Tax Deficiency) from Share-based Compensation, Financing Activities Excess tax benefit on stock-based compensation Excess Tax Benefit (Tax Deficiency) from Share-based Compensation, Operating Activities Excess tax benefit on stock-based compensation Measurement Frequency [Axis] Fair Value, Hierarchy [Axis] Fair Value, Measurements, Recurring [Member] Recurring Fair Value, Measurement Frequency [Domain] Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Measurements, Fair Value Hierarchy [Domain] Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] FAIR VALUE MEASUREMENTS Fair value measurements FAIR VALUE MEASUREMENTS FAIR VALUE MEASUREMENTS Fair Value Disclosures [Text Block] Fair Value, Measurements, Nonrecurring [Member] Non-recurring Fair Value Measurements, Nonrecurring [Table Text Block] Schedule of assets and liabilities that are measured at fair value on a non-recurring basis Fair Value, Inputs, Level 3 [Member] Level 3 Fair Value, Inputs, Level 1 [Member] Level 1 Fair Value, Inputs, Level 2 [Member] Level 2 Gain (Loss) on Investments Gain on investments, net Gain (Loss) on Sale of Property Plant Equipment Loss on disposal of assets Impairment of Long-Lived Assets Held-for-use Asset impairments related to property, equipment and improvements Realized Gains (Losses) Non-cash asset impairment charges related to stores that the entity plans to continue to operate Asset impairment charges Deferred lease incentives Incentive from Lessor CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS Income Tax Disclosure [Text Block] INCOME TAXES INCOME TAXES Income Tax Authority [Axis] Income Tax Authority [Domain] Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest Income (loss) before income taxes Income Tax Expense (Benefit) Income tax provision Income tax provision (benefit) Income taxes receivable Income Taxes Receivable, Current Income Taxes Paid Income taxes paid Increase (Decrease) in Accounts Payable Increase in accounts payable Increase (Decrease) in Accrued Liabilities Decrease in accrued liabilities Increase in other current assets Increase (Decrease) in Other Current Assets Increase (Decrease) in Other Current Liabilities Increase (decrease) in other current liabilities Increase (Decrease) in Accounts Receivable Increase in accounts receivable Increase (Decrease) in Restructuring Reserve Decrease in lease termination liabilities Decrease in deferred lease incentives Increase (Decrease) in Other Deferred Liability Decrease in deferred lease incentives Increase (Decrease) in Operating Capital [Abstract] Changes in operating assets and liabilities: Increase (Decrease) in Income Taxes Receivable Decrease in income taxes receivable Increase (Decrease) in Employee Related Liabilities Increase (decrease) in accrued salaries, wages and related expenses Increase (Decrease) in Prepaid Expense and Other Assets (Increase) decrease in prepaid expenses Increase (Decrease) in Other Operating Assets Decrease in other assets Increase (Decrease) in Inventories Increase in merchandise inventories Increase (Decrease) in Other Accrued Liabilities Decrease in accrued liabilities Increase (Decrease) in Other Operating Liabilities Increase (decrease) in other liabilities Increase (Decrease) in Trading Securities Sales of trading securities Interest Paid Interest paid Internal Revenue Service (IRS) [Member] Federal Merchandise inventories Inventory, Net Merchandise inventories Investment Income, Amortization of Premium Amortization of premium on investments Investment Secondary Categorization [Axis] Investments by Secondary Categorization [Domain] Investments Classified by Contractual Maturity Date [Table Text Block] Schedule of expected maturities of investments Investments in Debt and Marketable Equity Securities (and Certain Trading Assets) Disclosure [Text Block] INVESTMENTS INVESTMENTS Letters of Credit Outstanding, Amount Open on-demand letters of credit Land [Member] Land Leasehold Improvements [Member] Store leasehold improvements Total current liabilities Liabilities, Current Total non-current liabilities Liabilities, Noncurrent Current liabilities: Liabilities, Current [Abstract] Non-current liabilities: Liabilities, Noncurrent [Abstract] LIABILITIES AND STOCKHOLDERS' EQUITY Liabilities and Equity [Abstract] Total liabilities and stockholders' equity Liabilities and Equity Line of Credit Facility, Maximum Borrowing Capacity Maximum borrowing capacity under the credit facility Line of Credit Facility, Unused Capacity, Commitment Fee Percentage Facility fee based on the unused portion (as a percent) Line of Credit Facility, Remaining Borrowing Capacity Available borrowing capacity under the credit facility Line of Credit [Member] New Credit Facility Line of Credit Facility [Line Items] CREDIT FACILITY Line of Credit Facility, Current Borrowing Capacity Borrowing base Line of Credit Facility, Increase, Additional Borrowings Borrowings under the credit facility Line of Credit Facility [Table] Long-term investments Long-term Investments Major Types of Debt and Equity Securities [Axis] Major Types of Debt and Equity Securities [Domain] Maximum [Member] Maximum Minimum [Member] Minimum Municipal Bonds [Member] Municipal bonds Nature of Error [Domain] Cash flows from financing activities: Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract] Net cash used in operating activities Net Cash Provided by (Used in) Operating Activities, Continuing Operations Cash flows from operating activities: Net Cash Provided by (Used in) Operating Activities, Continuing Operations [Abstract] Net Cash Provided by (Used in) Continuing Operations Net decrease in cash and cash equivalents Net cash provided by investing activities Net Cash Provided by (Used in) Investing Activities, Continuing Operations Net Income (Loss) Available to Common Stockholders, Basic Net income (loss) available to common shareholders Net income (loss) Net Income (Loss) Attributable to Parent [Abstract] Numerator (in thousands): Net cash used in financing activities Net Cash Provided by (Used in) Financing Activities, Continuing Operations Cash flows from investing activities: Net Cash Provided by (Used in) Investing Activities, Continuing Operations [Abstract] Net Income (Loss) Attributable to Parent Net income (loss) Net income (loss) attributable to Christopher & Banks Corporation Net loss Net income (loss) Number of Operating Segments Number of operating segments Number of Reportable Segments Number of reportable segments Number of Stores Number of stores continue to operate Operating Loss Carryforwards [Table] Operating Loss Carryforwards Net operating loss carryforwards, which will result in tax benefits Operating Income (Loss) Operating income (loss) Operating income (loss) Operating loss Operating Loss Carryforwards [Line Items] Income taxes BASIS OF PRESENTATION Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, Tax Reclassification adjustment for gains included in net income, Tax Amount Other Assets, Current Other current assets Other assets Other Assets, Noncurrent Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, before Tax Less: reclassification adjustment for gains included in net loss Other Restructuring [Member] Other Other than Temporary Impairment Losses, Investments, Portion in Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent Fair value adjustment on investments Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, Net of Tax Less: reclassification adjustment for gains included in net income, net of taxes of $0, $25, $39 and $44 Other Comprehensive Income (Loss), Unrealized Holding Gain (Loss) on Securities Arising During Period, before Tax Unrealized holding gains on securities arising during period Other Income Other income Other Comprehensive Income (Loss), Unrealized Holding Gain (Loss) on Securities Arising During Period, Tax Unrealized holding gains (losses) on securities arising during period, Tax Amount Other Comprehensive Income (Loss), Unrealized Holding Gain (Loss) on Securities Arising During Period, Net of Tax Unrealized holding gains (losses) on securities arising during period, net of taxes of $0, $13, $1 and $61 Other Liabilities, Current Other current liabilities Other non-current liabilities Other Liabilities, Noncurrent Other Sundry Liabilities, Current Other Statement of Other Comprehensive Income [Abstract] Other comprehensive income (loss), net of tax: Other Accrued Liabilities, Current Total Other accrued liabilities Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent Other comprehensive income (loss) Participating Securities, Distributed and Undistributed Earnings Income allocated to participating securities Payments Related to Tax Withholding for Share-based Compensation Shares redeemed for payroll taxes Payments to Acquire Investments Purchases of investments Payments to Acquire Productive Assets Purchases of property, equipment and improvements Payments to Acquire Available-for-sale Securities Purchases of available-for-sale investments Purchases of available-for-sale securities Payments of Ordinary Dividends, Common Stock Dividends paid Financing costs Payments of Financing Costs Plan Name [Domain] Plan Name [Axis] Preferred stock - $0.01 par value, 1,000 shares authorized, none outstanding Preferred Stock, Value, Issued Preferred Stock, Shares Authorized Preferred stock, shares authorized Preferred Stock, Par or Stated Value Per Share Preferred stock, par value (in dollars per share) Preferred Stock, Shares Outstanding Preferred stock, shares outstanding Prepaid expenses Prepaid Expense, Current Redemptions of trading investments Proceeds from Sale of Trading Securities Held-for-investment Proceeds from Sale of Available-for-sale Securities Proceeds from the sale of available-for-sale securities Redemptions of available-for-sale securities Proceeds from Sale of Property, Plant, and Equipment Proceeds from sale of furniture, fixtures and equipment Proceeds from Sale, Maturity and Collection of Investments Sales of investments Proceeds from Stock Options Exercised Exercise of stock options Property, Plant and Equipment, Useful Life Estimated Useful Life Property, Plant and Equipment, Type [Domain] PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET Property, equipment and improvements, net Property, Plant and Equipment, Net Net property, equipment and improvements Property, Plant and Equipment [Line Items] PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET Property, Plant and Equipment, Gross Gross property, equipment and improvements Property, Plant and Equipment [Table Text Block] Schedule of property, equipment and improvements, net Property, Plant and Equipment, Type [Axis] Property, Plant and Equipment Disclosure [Text Block] PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET Quantifying Misstatement in Current Year Financial Statements [Line Items] Correction of an error Nature of Error [Axis] Range [Axis] Range [Domain] Accounts receivable Receivables, Net, Current Related Party Transaction, Purchases from Related Party Aggregate payments made by the company or its subsidiaries to related party Related Party Transactions Disclosure [Text Block] RELATED PARTY TRANSACTIONS Related Party Transaction [Line Items] Related Party Transactions Related Party [Domain] RELATED PARTY TRANSACTIONS Related Party [Axis] Restatement adjustment Restatement Adjustment [Member] Restricted Stock [Member] Restricted stock Restructuring, Settlement and Impairment Provisions Restructuring and impairment Total charges (credits) Restructuring Costs and Asset Impairment Charges Impairment of store assets Restructuring and Related Activities Disclosure [Text Block] RESTRUCTURING AND IMPAIRMENT Restructuring Type [Axis] Restructuring Charges Restructuring charges Restructuring Reserve, Settled with Cash Cash payments RESTRUCTURING AND IMPAIRMENT Restructuring Reserve, Noncurrent Lease termination liabilities Restructuring Reserve [Roll Forward] Changes in restructuring and impairment charges Restructuring Reserve, Settled without Cash Non-cash charges Restructuring Cost and Reserve [Line Items] RESTRUCTURING AND IMPAIRMENT Restructuring Reserve, Accrual Adjustment Non-cash adjustments Restructuring Reserve Balance at the beginning of the period Balance at the end of the period Retained earnings Retained Earnings (Accumulated Deficit) Revolving Credit Facility [Member] Revolving credit loan Shareholders' Equity and Share-based Payments [Text Block] STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION Share-based Compensation Arrangement by Share-based Payment Award, Purchase Price of Common Stock, Percent Purchase price of common stock as percentage of the fair market value of the common stock on the grant date Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Intrinsic Value Exercisable, end of period Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Expected Term Expected term in years Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Remaining Contractual Term Exercisable, end of period Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Remaining Contractual Term Outstanding, end of period Revenue, Net Net sales Scenario, Unspecified [Domain] Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block] Schedule of information by level for assets and liabilities that are measured at fair value on a recurring basis Schedule of Nonvested Share Activity [Table Text Block] Summary of restricted stock activity Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block] Summary of stock option activity Schedule of comprehensive income (loss) Schedule of Comprehensive Income (Loss) [Table Text Block] Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block] Schedule of weighted average assumptions relating to the valuation of stock options granted Schedule of Available-for-sale Securities [Table] Schedule of Inventory, Current [Table Text Block] Schedule of merchandise inventories Schedule of Accrued Liabilities [Table Text Block] Schedule of other accrued liabilities Schedule of Available-for-sale Securities [Line Items] INVESTMENTS Schedule of Calculation of Numerator and Denominator in Earnings Per Share [Table Text Block] Schedule of earnings per share Schedule of Available-for-sale Securities Reconciliation [Table Text Block] Schedule of investments Schedule of Segment Reporting Information, by Segment [Table] Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table] Schedule of Restructuring and Related Costs [Table] Schedule of Restructuring Reserve by Type of Cost [Table Text Block] Schedule of restructuring activity Schedule of Related Party Transactions, by Related Party [Table] Schedule of Quantifying Prior Year Misstatement Corrected in Current Year Financial Statements [Table] Schedule of Segment Reporting Information, by Segment [Table Text Block] Schedule of segment reporting Schedule of Property, Plant and Equipment [Table] Segment Reporting Information [Line Items] SEGMENT REPORTING SEGMENT REPORTING Segment Reporting Disclosure [Text Block] SEGMENT REPORTING Segment [Domain] Share-based Compensation Arrangement by Share-based Payment Award, Additional General Disclosures [Abstract] Other Share-Based Compensation Disclosures Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Total Fair Value Total fair value of shares vested during the period Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number of Shares [Roll Forward] Number of Shares Share-based Compensation Stock-based compensation expense Share-based Compensation Arrangements by Share-based Payment Award, Options, Forfeitures in Period, Weighted Average Exercise Price Canceled (forfeited) (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Weighted Average Grant Date Fair Value Granted (in dollars per share) Canceled - unvested (forfeited) (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeited in Period Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value Unvested, beginning of period (in dollars per share) Unvested, end of period (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price [Roll Forward] Weighted Average Exercise Price Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period Vesting period Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value [Roll Forward] Weighted Average Fair Value Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross Granted (in shares) Stockholders' equity and stock-based compensation Share-based Compensation Arrangement by Share-based Payment Award [Line Items] Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number Unvested, beginning of period (in shares) Unvested, end of period (in shares) Vested (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeitures, Weighted Average Grant Date Fair Value Canceled - unvested (forfeited) (in dollars per share) Purchase price (in dollars per share) Share Price Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price Granted (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Expirations in Period, Weighted Average Exercise Price Canceled (expired) (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period Granted (in shares) Share-based Compensation Arrangements by Share-based Payment Award, Options, Exercises in Period, Weighted Average Exercise Price Exercised (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Risk Free Interest Rate Risk-free interest rate (as a percent) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Exercise Price Exercisable, end of period (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Expected Dividend Rate Expected dividend yield (as a percent) Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Weighted Average Volatility Rate Expected volatility (as a percent) Share-based Compensation Arrangement by Share-based Payment Award, Options, Expirations in Period Canceled (expired) (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Weighted Average Grant Date Fair Value Vested (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value Granted (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period, Total Intrinsic Value Exercised Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Number Exercisable, end of period (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward] Number of Shares Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions and Methodology [Abstract] Weighted average assumptions relating to the valuation of our stock options granted Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures in Period Canceled (forfeited) (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price Outstanding, beginning of period (in dollars per share) Outstanding, end of period (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value Outstanding, beginning of period Outstanding, end of period Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Outstanding, beginning of period (in shares) Outstanding, end of period (in shares) Award Type [Domain] Short-term investments Short-term Investments Short-term Investments [Member] Short-term investments State State and Local Jurisdiction [Member] Statement [Table] Scenario [Axis] Statement [Line Items] Statement CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS Business Segments [Axis] CONDENSED CONSOLIDATED BALANCE SHEETS CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) Class of Stock [Axis] Stock Options [Member] Stock options Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Exercised (in shares) Stockholders' equity: Stockholders' Equity Attributable to Parent [Abstract] Total stockholders' equity Stockholders' Equity Attributable to Parent Ownership interest percentage held as collateral security Subsidiary of Limited Liability Company or Limited Partnership, Ownership Interest Supplemental Cash Flow Information [Abstract] Supplemental cash flow information: Supplier Concentration Risk [Member] Vendor concentration risk Tax Credit Carryforward, Amount Tax credit carryforwards Taxes Payable, Current Accrued income, sales and other taxes payable Title of Individual with Relationship to Entity [Domain] Common stock held in treasury, 9,791 shares at cost at October 27, 2012 and January 28, 2012, respectively Treasury Stock, Value Treasury Stock, Shares Common stock held in treasury, shares Type of Restructuring [Domain] Unrecognized Tax Benefits, Income Tax Penalties and Interest Accrued Accrued interest and penalties related to unrecognized tax benefits Unrecognized Tax Benefits Liability for unrecognized tax benefits associated with uncertain tax positions Unrecognized Tax Benefits that Would Impact Effective Tax Rate Unrecognized tax benefits that would affect the effective tax rate, if recognized US Government Agencies Debt Securities [Member] U.S. Agency securities Variable Rate Demand Obligation [Member] Variable rate demand obligations Weighted Average Number of Shares Outstanding, Diluted [Abstract] Denominator (in thousands): Weighted Average Number of Shares Outstanding, Basic Basic shares outstanding (in shares) Weighted average common shares outstanding - basic Weighted Average Number of Shares Outstanding, Diluted Diluted shares outstanding (in shares) Weighted average common and common equivalent shares outstanding - diluted Weighted Average Number Diluted Shares Outstanding Adjustment Dilutive shares EX-101.PRE 11 cbk-20121027_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT XML 12 R39.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Oct. 27, 2012
Jan. 28, 2012
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Gross property, equipment and improvements $ 190,080 $ 196,789
Less accumulated depreciation and amortization (145,116) (140,346)
Net property, equipment and improvements 44,964 56,443
Asset impairments related to property, equipment and improvements 100  
Land
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Gross property, equipment and improvements 1,597 1,597
Corporate office, distribution center and related building improvements
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 25 years  
Gross property, equipment and improvements 12,322 12,319
Store leasehold improvements
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 10 years  
Gross property, equipment and improvements 59,445 62,961
Store furniture and fixtures
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Gross property, equipment and improvements 75,731 79,793
Store furniture and fixtures | Minimum
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 3 years  
Store furniture and fixtures | Maximum
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 10 years  
Corporate office and distribution center furniture, fixtures and equipment
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 7 years  
Gross property, equipment and improvements 5,547 5,562
Computer and point-of-sale hardware and software
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Gross property, equipment and improvements 34,733 34,039
Computer and point-of-sale hardware and software | Minimum
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 3 years  
Computer and point-of-sale hardware and software | Maximum
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Estimated Useful Life 5 years  
Construction in progress
   
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET    
Gross property, equipment and improvements $ 705 $ 518
XML 13 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT REPORTING (Details) (USD $)
3 Months Ended 9 Months Ended 11 Months Ended 12 Months Ended
Oct. 27, 2012
Jul. 28, 2012
Apr. 28, 2012
Nov. 26, 2011
Oct. 29, 2011
Oct. 27, 2012
item
Nov. 26, 2011
Oct. 29, 2011
Jan. 28, 2012
Jan. 28, 2012
SEGMENT REPORTING                    
Number of operating segments           2        
Number of reportable segments           1        
SEGMENT REPORTING                    
Net benefit related to restructuring and impairment costs   $ 4,700,000 $ 800,000     $ 5,200,000        
Asset impairment charges           100,000        
Non-cash assets impairment charges           139,000     11,445,000 7,000,000
Net sales 117,263,000     123,896,000 114,553,000 314,321,000 343,957,000 330,535,000    
Operating income (loss) 3,616,000     (28,225,000) (13,993,000) (11,949,000) (39,178,000) (28,544,000)    
Total assets 145,000,000     204,794,000   145,000,000 204,794,000   166,016,000 166,016,000
Christopher & Banks/ C.J. Banks
                   
SEGMENT REPORTING                    
Asset impairment charges           100,000        
Non-cash assets impairment charges           11,400,000        
Net sales 117,263,000     123,896,000   314,321,000 343,957,000      
Operating income (loss) 16,260,000     (13,917,000)   23,266,000 1,460,000      
Total assets 97,037,000     107,599,000   97,037,000 107,599,000      
Corporate/ Administrative
                   
SEGMENT REPORTING                    
Operating income (loss) (12,644,000)     (14,308,000)   (35,215,000) (40,638,000)      
Total assets $ 47,963,000     $ 97,195,000   $ 47,963,000 $ 97,195,000      
Minimum
                   
SEGMENT REPORTING                    
Age of customers for sale of women's apparel           45 years        
Maximum
                   
SEGMENT REPORTING                    
Age of customers for sale of women's apparel           60 years        
XML 14 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS (Details) (Recurring, USD $)
In Thousands, unless otherwise specified
Jan. 28, 2012
Fair Value
 
FAIR VALUE MEASUREMENTS  
Total assets $ 20,944
Level 2
 
FAIR VALUE MEASUREMENTS  
Total assets 20,944
Short-term investments | Fair Value
 
FAIR VALUE MEASUREMENTS  
Total current assets 7,660
Short-term investments | Fair Value | Municipal bonds
 
FAIR VALUE MEASUREMENTS  
Total current assets 5,660
Short-term investments | Fair Value | U.S. Agency securities
 
FAIR VALUE MEASUREMENTS  
Total current assets 2,000
Short-term investments | Level 2
 
FAIR VALUE MEASUREMENTS  
Total current assets 7,660
Short-term investments | Level 2 | Municipal bonds
 
FAIR VALUE MEASUREMENTS  
Total current assets 5,660
Short-term investments | Level 2 | U.S. Agency securities
 
FAIR VALUE MEASUREMENTS  
Total current assets 2,000
Long-term investments | Fair Value
 
FAIR VALUE MEASUREMENTS  
Total non-current assets 13,284
Long-term investments | Fair Value | Municipal bonds
 
FAIR VALUE MEASUREMENTS  
Total non-current assets 13,284
Long-term investments | Level 2
 
FAIR VALUE MEASUREMENTS  
Total non-current assets 13,284
Long-term investments | Level 2 | Municipal bonds
 
FAIR VALUE MEASUREMENTS  
Total non-current assets $ 13,284
XML 15 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
BASIS OF PRESENTATION (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 28, 2012
Oct. 27, 2012
BASIS OF PRESENTATION    
Signing bonus received $ 0.5  
Correction of an error    
Redemptions of available-for-sale securities   21.4
Correction of error related to cash equivalents | Restatement adjustment
   
Correction of an error    
Purchases of available-for-sale securities   (45.6)
Redemptions of available-for-sale securities   $ (45.6)
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INVESTMENTS (Tables)
9 Months Ended
Oct. 27, 2012
INVESTMENTS  
Schedule of investments

 

 

 

 

Jan 28, 2012

 

 

 

Amortized

 

Unrealized

 

Unrealized

 

Estimated

 

Description

 

Cost

 

Gains

 

Losses

 

Fair Value

 

 

 

 

 

 

 

 

 

 

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,643

 

$

19

 

$

2

 

$

5,660

 

U.S. Agency securities

 

2,000

 

 

 

2,000

 

 

 

 

 

 

 

 

 

 

 

Total short-term investments

 

7,643

 

19

 

2

 

7,660

 

 

 

 

 

 

 

 

 

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,200

 

84

 

 

13,284

 

Total long-term investments

 

13,200

 

84

 

 

13,284

 

Total investments

 

$

20,843

 

$

103

 

$

2

 

$

20,944

 

XML 18 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
9 Months Ended 1 Months Ended 1 Months Ended 3 Months Ended 9 Months Ended
Oct. 27, 2012
item
Nov. 26, 2011
Jan. 28, 2012
Jul. 31, 2006
Feb. 28, 2004
Jul. 31, 2012
Rights Plan
Jul. 05, 2012
Rights Plan
Jul. 31, 2012
Rights Plan
Series A Junior Participating Preferred Stock
Jul. 05, 2012
Rights Plan
Series A Junior Participating Preferred Stock
Oct. 27, 2012
Stock options
Nov. 26, 2011
Stock options
Oct. 27, 2012
Stock options
Nov. 26, 2011
Stock options
Oct. 27, 2012
Stock options
Minimum
Oct. 27, 2012
Stock options
Employees
Oct. 27, 2012
Stock options
Employees
Maximum
Oct. 27, 2012
Stock options
Directors
Oct. 27, 2012
Stock options
Directors
Maximum
Oct. 27, 2012
Restricted stock
Employees
Minimum
Oct. 27, 2012
Restricted stock
Employees
Maximum
Oct. 27, 2012
Restricted stock
Directors
Stockholders' equity and stock-based compensation                                          
Quarterly cash dividend (in dollars per share)       $ 0.06 $ 0.04                                
Number of preferred share purchase rights issued as a dividend against each outstanding share of common stock           1                              
Common stock, par value (in dollars per share) $ 0.01   $ 0.01       $ 0.01                            
Period after the first date of public announcement by the Company or an acquiring person, rights available for distribution           10 days                              
Beneficial ownership percentage of acquiring person           15.00%                              
Period after the date of the commencement by any person of a tender or exchange offer, rights available for distribution           10 days                              
Preferred share purchase right conversion basis               0.0001                          
Preferred stock, par value (in dollars per share) $ 0.01   $ 0.01           $ 0.01                        
Purchase price (in dollars per share)                 $ 8.25                        
Number of times of market value of preferred stock entitled by right holders 2                                        
Purchase price of common stock as percentage of the fair market value of the common stock on the grant date                           100.00%              
Vesting period                             3 years   30 months   1 year 3 years 6 months
Period from the grant date for which awards are exercisable                               10 years   10 years      
Pre-tax stock-based compensation expense $ 1.5 $ 2.2                                      
Weighted average assumptions relating to the valuation of our stock options granted                                          
Expected dividend yield (as a percent)                   0.00% 6.04% 0.00% 4.00%                
Expected volatility (as a percent)                   76.70% 72.40% 73.70% 71.10%                
Risk-free interest rate (as a percent)                   0.60% 0.90% 1.00% 2.10%                
Expected term in years                   5 years 5 years 4 years 10 months 24 days 5 years                
XML 19 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVESTMENTS (Details) (USD $)
9 Months Ended
Oct. 27, 2012
Jan. 28, 2012
INVESTMENTS    
Amortized Cost   $ 20,843,000
Unrealized Gains   103,000
Unrealized Losses   2,000
Estimated Fair Value   20,944,000
Proceeds from the sale of available-for-sale securities 21,400,000  
Short-term investments
   
INVESTMENTS    
Amortized Cost   7,643,000
Unrealized Gains   19,000
Unrealized Losses   2,000
Estimated Fair Value   7,660,000
Long-term investments
   
INVESTMENTS    
Amortized Cost   13,200,000
Unrealized Gains   84,000
Estimated Fair Value   13,284,000
Municipal bonds | Short-term investments
   
INVESTMENTS    
Amortized Cost   5,643,000
Unrealized Gains   19,000
Unrealized Losses   2,000
Estimated Fair Value   5,660,000
Municipal bonds | Long-term investments
   
INVESTMENTS    
Amortized Cost   13,200,000
Unrealized Gains   84,000
Estimated Fair Value   13,284,000
U.S. Agency securities | Short-term investments
   
INVESTMENTS    
Amortized Cost   2,000,000
Estimated Fair Value   $ 2,000,000
XML 20 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS (Details 2) (USD $)
9 Months Ended
Oct. 27, 2012
Oct. 27, 2012
Non-recurring
Oct. 27, 2012
Non-recurring
Fair Value
Apr. 28, 2012
Non-recurring
Fair Value
Oct. 27, 2012
Non-recurring
Level 3
Fair value measurements          
Fair value of long-lived assets held and used     $ 34,000 $ 34,000 $ 34,000
Realized Gains (Losses) 100,000 (139,000)      
Carrying amount of long-lived assets held and used   $ 172,000      
XML 21 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
CHANGE IN FISCAL YEAR-END
9 Months Ended
Oct. 27, 2012
CHANGE IN FISCAL YEAR-END  
CHANGE IN FISCAL YEAR-END

NOTE 2 — CHANGE IN FISCAL YEAR-END

 

As referenced in Note 1, on January 6, 2012, our Board of Directors amended and restated our By-Laws to provide that our fiscal year ends at the close of business on that Saturday which falls closest to the last day of January.  Prior to this change, our fiscal year ended at the close of business on that Saturday which fell closest to the last day of February.

 

The table below provides unaudited financial information for the comparable thirteen and thirty-nine-week periods ended October 27, 2012 and October 29, 2011, respectively (in thousands).

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

October 29,

 

October 27,

 

October 29,

 

 

 

2012

 

2011

 

2012

 

2011

 

 

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

Net sales

 

$

117,263

 

$

114,553

 

$

314,321

 

$

330,535

 

Operating income (loss)

 

3,616

 

(13,993

)

(11,949

)

(28,544

)

Income tax provision (benefit)

 

39

 

(133

)

173

 

(139

)

Net income (loss)

 

$

3,583

 

$

(13,749

)

$

(12,026

)

$

(28,131

)

 

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Basic shares outstanding

 

35,643

 

35,578

 

35,626

 

35,527

 

 

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Diluted shares outstanding

 

36,030

 

35,578

 

35,626

 

35,527

 

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M/@T*("`@("`@("`\=&0@8VQA'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@ M/'1R(&-L87-S/3-$'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^-C`@>65A M'1087)T7S-B M,&9A.3DT7V4R-31?-#'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA'0^/'-P86X^/"]S M<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S M<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$3PO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N M/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N M/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$7!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 XML 23 R43.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION (Details 2) (USD $)
9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Other Share-Based Compensation Disclosures    
Unrecognized stock-based compensation expense $ 1,500,000  
Weighted average period for recognition of unrecognized stock-based compensation expense 1 year 6 months  
Stock options
   
Number of Shares    
Outstanding, beginning of period (in shares) 2,826,949  
Granted (in shares) 614,844  
Outstanding, end of period (in shares) 1,729,234  
Exercisable, end of period (in shares) 681,399  
Weighted Average Exercise Price    
Outstanding, beginning of period (in dollars per share) $ 7.48  
Granted (in dollars per share) $ 1.93  
Outstanding, end of period (in dollars per share) $ 6.71  
Exercisable, end of period (in dollars per share) $ 11.86  
Aggregate Intrinsic Value    
Granted 829,000  
Outstanding, end of period 900,000  
Weighted Average Fair Value    
Outstanding, beginning of period (in dollars per share) $ 3.19  
Granted (in dollars per share) $ 1.15  
Outstanding, end of period (in dollars per share) $ 2.56  
Exercisable, end of period (in dollars per share) $ 4.79  
Weighted Average Remaining Contractual Life    
Outstanding, end of period 7 years 7 months 2 days  
Exercisable, end of period 5 years 4 months 28 days  
Stock options | Vested
   
Number of Shares    
Outstanding, beginning of period (in shares) 1,207,311  
Canceled (expired) (in shares) (690,617)  
Outstanding, end of period (in shares) 681,399  
Weighted Average Exercise Price    
Outstanding, beginning of period (in dollars per share) $ 9.91  
Canceled (expired) (in dollars per share) $ 7.31  
Outstanding, end of period (in dollars per share) $ 11.86  
Weighted Average Fair Value    
Outstanding, beginning of period (in dollars per share) $ 4.01  
Canceled (expired) (in dollars per share) $ 3.06  
Outstanding, end of period (in dollars per share) $ 4.79  
Weighted Average Remaining Contractual Life    
Outstanding, end of period 5 years 4 months 28 days  
Stock options | Unvested
   
Number of Shares    
Outstanding, beginning of period (in shares) 1,619,638  
Canceled (forfeited) (in shares) (1,021,942)  
Outstanding, end of period (in shares) 1,047,835  
Weighted Average Exercise Price    
Outstanding, beginning of period (in dollars per share) $ 5.67  
Canceled (forfeited) (in dollars per share) $ 5.56  
Outstanding, end of period (in dollars per share) $ 3.36  
Aggregate Intrinsic Value    
Outstanding, end of period 900,000  
Weighted Average Fair Value    
Outstanding, beginning of period (in dollars per share) $ 2.58  
Canceled (forfeited) (in dollars per share) $ 2.50  
Outstanding, end of period (in dollars per share) $ 1.71  
Weighted Average Remaining Contractual Life    
Outstanding, end of period 9 years 4 days  
Restricted stock
   
Number of Shares    
Unvested, beginning of period (in shares) 446,904  
Granted (in shares) 1,075,452  
Vested (in shares) (64,745)  
Canceled - unvested (forfeited) (in shares) (118,862)  
Unvested, end of period (in shares) 1,338,749  
Weighted Average Fair Value    
Unvested, beginning of period (in dollars per share) $ 5.03  
Granted (in dollars per share) $ 1.67  
Vested (in dollars per share) $ 6.62  
Canceled - unvested (forfeited) (in dollars per share) $ 3.75  
Unvested, end of period (in dollars per share) $ 2.37  
Other Share-Based Compensation Disclosures    
Total fair value of shares vested during the period $ 400,000 $ 400,000
XML 24 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION (Tables)
9 Months Ended
Oct. 27, 2012
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION  
Schedule of weighted average assumptions relating to the valuation of stock options granted

 

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Expected dividend yield

 

0.0

%

6.04

%

0.0

%

4.0

%

Expected volatility

 

76.7

%

72.4

%

73.7

%

71.1

%

Risk-free interest rate

 

0.6

%

0.9

%

1.0

%

2.1

%

Expected term in years

 

5.0

 

5.0

 

4.9

 

5.0

 

Summary of stock option activity

 

 

 

 

 

 

 

 

 

 

 

 

Weighted

 

 

 

 

 

Weighted

 

Aggregate

 

 

 

Average

 

 

 

Number

 

Average

 

Intrinsic

 

Weighted

 

Remaining

 

 

 

of

 

Exercise

 

Value

 

Average

 

Contractual

 

 

 

Shares

 

Price

 

(in thousands)

 

Fair Value

 

Life

 

Outstanding, beginning of period

 

2,826,949

 

$

7.48

 

$

 

$

3.19

 

 

 

Vested

 

1,207,311

 

9.91

 

 

4.01

 

 

 

Unvested

 

1,619,638

 

5.67

 

 

2.58

 

 

 

Granted

 

614,844

 

1.93

 

829

 

1.15

 

 

 

Exercised

 

 

 

 

 

 

 

Canceled - vested (expired)

 

(690,617

)

7.31

 

 

3.06

 

 

 

Canceled - unvested (forfeited)

 

(1,021,942

)

5.56

 

 

2.50

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Outstanding, end of period

 

1,729,234

 

$

6.71

 

$

900

 

$

2.56

 

7.59

 

 

 

 

 

 

 

 

 

 

 

 

 

Vested

 

681,399

 

11.86

 

 

 

4.79

 

5.41

 

Unvested

 

1,047,835

 

3.36

 

900

 

1.71

 

9.01

 

Exercisable, end of period

 

681,399

 

11.86

 

 

4.79

 

5.41

 

Summary of restricted stock activity

 

 

 

 

Number

 

Weighted

 

 

 

of

 

Average

 

 

 

Shares

 

Fair Value

 

Unvested, beginning of period

 

446,904

 

$

5.03

 

Granted

 

1,075,452

 

1.67

 

Vested

 

(64,745

)

6.62

 

Canceled - unvested (forfeited)

 

(118,862

)

3.75

 

 

 

 

 

 

 

Unvested, end of period

 

1,338,749

 

$

2.37

 

XML 25 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACCRUED LIABILITIES (Tables)
9 Months Ended
Oct. 27, 2012
ACCRUED LIABILITIES  
Schedule of other accrued liabilities

 

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

Gift card and store credit liabilities

 

$

5,208

 

$

9,922

 

Accrued Friendship Rewards Program loyalty liability

 

4,041

 

3,376

 

Accrued income, sales and other taxes payable

 

2,805

 

2,097

 

Accrued occupancy-related expenses

 

969

 

4,549

 

Other

 

10,497

 

5,622

 

 

 

$

23,520

 

$

25,566

 

XML 26 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Oct. 27, 2012
INCOME TAXES  
Liability for unrecognized tax benefits associated with uncertain tax positions $ 0.9
Unrecognized tax benefits that would affect the effective tax rate, if recognized 0.8
Accrued interest and penalties related to unrecognized tax benefits 0.5
Period considered for measuring net cumulative loss 3 years
Income taxes  
Tax credit carryforwards 0.6
Federal
 
Income taxes  
Net operating loss carryforwards, which will result in tax benefits 20.9
State
 
Income taxes  
Net operating loss carryforwards, which will result in tax benefits $ 2.1
XML 27 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
EARNINGS PER SHARE (Tables)
9 Months Ended
Oct. 27, 2012
EARNINGS PER SHARE  
Schedule of earnings per share

 

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Numerator (in thousands):

 

 

 

 

 

 

 

 

 

Net income (loss) attributable to Christopher & Banks Corporation

 

$

3,583

 

$

(28,239

)

$

(12,026

)

$

(39,331

)

Income allocated to participating securities

 

(61

)

(13

)

 

(39

)

Net income (loss) available to common shareholders

 

$

3,522

 

$

(28,252

)

$

(12,026

)

$

(39,370

)

 

 

 

 

 

 

 

 

 

 

Denominator (in thousands):

 

 

 

 

 

 

 

 

 

Weighted average common shares outstanding - basic

 

35,643

 

35,585

 

35,626

 

35,542

 

Dilutive shares

 

387

 

 

 

 

Weighted average common and common equivalent shares outstanding - diluted

 

36,030

 

35,585

 

35,626

 

35,542

 

 

 

 

 

 

 

 

 

 

 

Net income (loss) per common share:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

Diluted

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

XML 28 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Oct. 27, 2012
FAIR VALUE MEASUREMENTS  
Schedule of information by level for assets and liabilities that are measured at fair value on a recurring basis

 

 

 

 

 

 

Fair Value Measurements

 

 

 

Fair Value at

 

Using Inputs Considered as

 

Description

 

January 28, 2012

 

Level 1

 

Level 2

 

Level 3

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,660

 

$

 

$

5,660

 

$

 

U.S. Agency securities

 

2,000

 

 

2,000

 

 

Total current assets

 

7,660

 

 

7,660

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,284

 

 

13,284

 

 

Total non-current assets

 

13,284

 

 

13,284

 

 

Total assets

 

$

20,944

 

$

 

$

20,944

 

$

 

Schedule of assets and liabilities that are measured at fair value on a non-recurring basis

 

 

 

 

 

 

 

 

 

 

 

 

Realized

 

 

 

Thirty-nine

 

 

 

 

 

 

 

Gains (Losses)

 

 

 

Weeks Ended

 

Fair Value Measurements

 

Thirty-nine

 

 

 

October 27,

 

Using Inputs Considered as

 

Weeks Ended

 

Description

 

2012

 

Level 1

 

Level 2

 

Level 3

 

October 27, 2012

 

Assets:

 

 

 

 

 

 

 

 

 

 

 

Long-lived assets held and used

 

$

34

 

$

 

$

 

$

34

 

$

(139

)

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities:

 

$

 

$

 

$

 

$

 

$

 

XML 29 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
BASIS OF PRESENTATION
9 Months Ended
Oct. 27, 2012
BASIS OF PRESENTATION  
BASIS OF PRESENTATION

NOTE 1 — BASIS OF PRESENTATION

 

The unaudited condensed consolidated financial statements included in this Quarterly Report on Form 10-Q have been prepared by Christopher & Banks Corporation and its subsidiaries (collectively referred to as “Christopher & Banks”, “the Company”, “we” or “us”) pursuant to the current rules and regulations of the United States Securities and Exchange Commission.  Certain information and footnote disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed, or omitted, pursuant to such rules and regulations. These unaudited condensed consolidated financial statements should be read in conjunction with the audited financial statements and related notes included in our Transition Report on Form 10-K for the eleven-month transition period ended January 28, 2012.

 

In January 2012, our Board of Directors amended and restated our By-Laws to provide that our fiscal year ends at the close of business on that Saturday which falls closest to the last day of January.  Prior to this change, our fiscal year ended at the close of business on that Saturday which fell closest to the last day of February.  In order to transition to our new fiscal calendar, our last fiscal year was shortened from twelve months to eleven months, resulting in an eleven-month transition period ended January 28, 2012 (the “transition period”).  In this Quarterly Report on Form 10-Q, our current fiscal year, the 53-week period ending February 2, 2013, is referred to as fiscal 2012.

 

The results of operations for the interim periods shown in this report are not necessarily indicative of results to be expected for the full fiscal year.  In the opinion of management, the information contained herein reflects all adjustments, consisting only of normal adjustments, except as otherwise stated in these notes, necessary to present fairly our financial position as of October 27, 2012 and January 28, 2012, our results of operations for the thirteen and thirty-nine-week periods ended October 27, 2012 and November 26, 2011 and our cash flows for the thirty-nine-week periods ended October 27, 2012 and November 26, 2011.

 

Private Label Credit Card Program

 

During the first quarter of fiscal 2012, we launched a private label credit card program with a sponsoring bank which provides for the issuance of credit cards bearing the Christopher & Banks and C.J. Banks brands.  The sponsoring bank manages and extends credit to our customers and is the sole owner of the accounts receivable generated under the program.  As part of the program, we received a signing bonus of $0.5 million from the sponsoring bank and also earn revenue based on card usage by our customers.  The deferred signing bonus is included in other liabilities and is being recognized in net sales ratably over the term of the contract.  The other revenue based on customer usage of the card is recognized in net sales in the periods in which the related customer transaction occurs.  In addition, the sponsoring bank reimburses us for certain marketing expenditures related to the program, subject to an annual cap on the amount of reimbursable expenses.  The amounts related to the private label credit card program pertaining to the thirteen and thirty-nine weeks ended October 27, 2012 were not material to the consolidated financial statements.

 

Recently Adopted Accounting Pronouncements

 

In May 2011, the Financial Accounting Standards Board (the “FASB”) issued Accounting Standards Update (“ASU”) 2011-04, “Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in US GAAP and IFRS.”  ASU 2011-04 amends ASC 820, “Fair Value Measurement,” by expanding existing disclosure requirements for fair value measurements and modifying certain definitions in the guidance, which may change how the fair value measurement guidance of ASC 820 is applied.  The Company adopted ASU 2011-04 effective January 29, 2012.  The adoption of this pronouncement has not had a significant impact on our condensed consolidated financial statements and these changes are not expected to impact the consolidated financial statements in the future.

 

In June 2011, the FASB issued ASU 2011-05, “Presentation of Comprehensive Income.”  ASU 2011-05 amends Accounting Standards Codification (“ASC”) 220-10, “Comprehensive Income,” and requires that all changes in comprehensive income be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements and also requires the presentation of reclassification adjustments on the face of the financial statements from other comprehensive income to net income.  The Company adopted ASU 2011-05 effective January 29, 2012.  This pronouncement requires changes in presentation only and thus did not have any impact on our financial position or results of operations.

 

Immaterial Correction of an Error

 

In connection with the preparation of our financial statements for the transition period, we determined that purchases and redemptions of available-for-sale securities, as presented within the investing activities section of our consolidated statement of cash flows, incorrectly included activity related to cash equivalents for the year-to-date periods ended May 28, 2011, August 27, 2011 and November 26, 2011.  We have revised our statement of cash flows for the thirty-nine weeks ended November 26, 2011 presented within this quarterly report on Form 10-Q to accurately reflect purchases and redemptions of available-for-sale securities.  The effect of this revision was a decrease of purchases of available-for-sale securities by $45.6 million and a corresponding decrease of redemptions of available-for-sale securities by $45.6 million. There was no impact on net cash provided by investing activities or cash and cash equivalents or available-for-sale securities, as previously reported.  We have concluded this correction is immaterial to the financial statements taken as a whole.

 

Reclassifications

 

Certain prior year amounts included in other accrued liabilities on the consolidated balance sheets have been reclassified to accounts payable to conform to the current year presentation.  Corresponding reclassifications were made within the operating section of the consolidated statement of cash flows.  These reclassifications have no impact on previously reported net loss, current liabilities or net cash flows from operating activities.  We believe the changes related to merchandise deliveries received, but not yet invoiced, will provide enhanced transparency.

 

In addition, beginning in the second quarter of fiscal 2012, we have classified the change in certain deferred lease-related liabilities (deferred lease incentives and deferred rent obligations) as an adjustment to reconcile net loss to net cash used in operating activities on the consolidated statement of cash flows.  Prior year amounts previously reported as a change in operating assets and liabilities within the operating activities section of the consolidated statement of cash flows have been reclassified to conform to the current year presentation.  The reclassification has no impact on previously reported net cash flows from operating activities.

XML 30 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT REPORTING (Tables)
9 Months Ended
Oct. 27, 2012
SEGMENT REPORTING  
Schedule of segment reporting

 

 

Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirteen Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

117,263

 

$

 

$

117,263

 

Operating income (loss)

 

16,260

 

(12,644

)

3,616

 

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirteen Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

123,896

 

$

 

$

123,896

 

Operating loss

 

(13,917

)

(14,308

)

(28,225

)

Total assets

 

107,599

 

97,195

 

204,794

 

 

Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirty-nine Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

314,321

 

$

 

$

314,321

 

Operating income (loss)

 

23,266

 

(35,215

)

(11,949

)

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirty-nine Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

343,957

 

$

 

$

343,957

 

Operating income (loss)

 

1,460

 

(40,638

)

(39,178

)

Total assets

 

107,599

 

97,195

 

204,794

 

XML 31 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACCRUED LIABILITIES (Details) (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
ACCRUED LIABILITIES    
Gift card and store credit liabilities $ 5,208 $ 9,922
Accrued Friendship Rewards Program loyalty liability 4,041 3,376
Accrued income, sales and other taxes payable 2,805 2,097
Accrued occupancy-related expenses 969 4,549
Other 10,497 5,622
Total $ 23,520 $ 25,566
XML 32 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
Current assets:    
Cash and cash equivalents $ 33,209 $ 40,782
Short-term investments   7,660
Accounts receivable 4,627 3,649
Merchandise inventories 58,186 39,455
Prepaid expenses 2,693 3,289
Income taxes receivable 836 1,188
Other current assets 71  
Total current assets 99,622 96,023
Property, equipment and improvements, net 44,964 56,443
Long-term investments   13,284
Other assets 414 266
Total assets 145,000 166,016
Current liabilities:    
Accounts payable 27,554 19,466
Accrued salaries, wages and related expenses 3,823 5,831
Other accrued liabilities 23,520 25,566
Total current liabilities 54,897 50,863
Non-current liabilities:    
Deferred lease incentives 6,240 10,546
Deferred rent obligations 3,148 5,294
Lease termination liabilities   8,032
Other non-current liabilities 1,929 1,919
Total non-current liabilities 11,317 25,791
Commitments      
Stockholders' equity:    
Preferred stock - $0.01 par value, 1,000 shares authorized, none outstanding      
Common stock - $0.01 par value, 74,000 shares authorized, 46,775 and 45,819 shares issued and 36,984 and 36,028 shares outstanding at October 27, 2012 and January 28, 2012, respectively 468 458
Additional paid-in capital 118,900 117,399
Retained earnings 72,129 84,154
Common stock held in treasury, 9,791 shares at cost at October 27, 2012 and January 28, 2012, respectively (112,711) (112,711)
Accumulated other comprehensive income   62
Total stockholders' equity 78,786 89,362
Total liabilities and stockholders' equity $ 145,000 $ 166,016
XML 33 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
EARNINGS PER SHARE (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 29, 2011
Oct. 27, 2012
Nov. 26, 2011
Oct. 29, 2011
Numerator (in thousands):            
Net income (loss) attributable to Christopher & Banks Corporation $ 3,583 $ (28,239) $ (13,749) $ (12,026) $ (39,331) $ (28,131)
Income allocated to participating securities (61) (13)     (39)  
Net income (loss) available to common shareholders $ 3,522 $ (28,252)   $ (12,026) $ (39,370)  
Denominator (in thousands):            
Weighted average common shares outstanding - basic 35,643,000 35,585,000 35,578,000 35,626,000 35,542,000 35,527,000
Dilutive shares 387,000          
Weighted average common and common equivalent shares outstanding - diluted 36,030,000 35,585,000 35,578,000 35,626,000 35,542,000 35,527,000
Net income (loss) per common share:            
Basic (in dollars per share) $ 0.10 $ (0.79) $ (0.39) $ (0.34) $ (1.11) $ (0.79)
Diluted (in dollars per share) $ 0.10 $ (0.79) $ (0.39) $ (0.34) $ (1.11) $ (0.79)
Stock options excluded from the shares used in the computation of diluted earnings per share 1,100,000 2,800,000   1,800,000 2,800,000  
XML 34 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (Parenthetical) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 27, 2012
Nov. 26, 2011
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)        
Unrealized holding gains (losses) on securities arising during period, Tax Amount $ 0 $ 13 $ 1 $ 61
Reclassification adjustment for gains included in net income, Tax Amount $ 0 $ 25 $ 39 $ 44
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RESTRUCTURING AND IMPAIRMENT (Details) (USD $)
3 Months Ended 9 Months Ended 11 Months Ended 12 Months Ended
Oct. 27, 2012
item
Jul. 28, 2012
item
Apr. 28, 2012
item
Nov. 26, 2011
item
Oct. 27, 2012
Jan. 28, 2012
item
Jan. 28, 2012
RESTRUCTURING AND IMPAIRMENT              
Number of stores to be closed per plan approved by the Board       100      
Number of stores identified for closure       103      
Sales from the stores identified for closure             $ 35,000,000
Store-level operating losses from the stores identified for closure             11,000,000
Non-cash impairment charges         139,000 11,445,000 7,000,000
Net benefit related to restructuring and impairment costs   4,700,000 800,000   5,200,000    
Net lease liabilities in excess of actual settlements negotiated   4,900,000 1,400,000        
Number of stores closed   2 11     90  
Number of stores for which net lease termination liabilities exceeded the actual settlements negotiated   35 18        
Additional lease termination liabilities related to closed stores     500,000        
Non-cash asset impairment charges related to stores that the entity plans to continue to operate         100,000    
Number of stores continue to operate     5        
Restructuring related professional fees 300,000 200,000          
Restructuring charges 300,000       656,000 9,738,000  
Net lease liabilities less than from actual settlements negotiated 30,000            
Number of stores for which net lease termination liabilities was less than from the actual settlements negotiated 1            
Lease termination liability reclassified from long term portion to current accrued liabilities $ 300,000            
Number of stores for which net lease termination liabilities was reclassified 1            

XML 37 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
RELATED PARTY TRANSACTIONS
9 Months Ended
Oct. 27, 2012
RELATED PARTY TRANSACTIONS  
RELATED PARTY TRANSACTIONS

NOTE 15 — RELATED PARTY TRANSACTIONS

 

The Company or its subsidiaries have for the past several years made payments to G-III Apparel Group Ltd. (“G-III”) or its related entities primarily related to purchases of apparel and commissions on apparel purchases.  On January 3, 2011, Morris Goldfarb, the Chairman of the Board and Chief Executive Officer of G-III, became a director of the Company.  In the thirty-nine weeks ended October 27, 2012 and November 26, 2011, we paid G-III and its related entities approximately $0.9 million and $2.3 million, respectively.  As of October 27, 2012, the Company had a balance due to G-III of approximately $0.4 million.

 

Other than the relationship noted above, related party transactions are limited to employment or other agreements with certain of our current and former officers, all of which have been previously disclosed.

XML 38 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRUCTURING AND IMPAIRMENT (Details 2) (USD $)
3 Months Ended 9 Months Ended 11 Months Ended 12 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 27, 2012
Nov. 26, 2011
Jan. 28, 2012
Jan. 28, 2012
Changes in restructuring and impairment charges            
Balance at the beginning of the period     $ 12,670,000      
Asset impairment charges     139,000   11,445,000 7,000,000
Non-cash adjustments     (6,263,000)      
Restructuring charges 300,000   656,000   9,738,000  
Total charges (credits) 333,000 12,199,000 (5,161,000) 12,199,000 21,183,000  
Non-cash charges     (139,000)   (11,551,000)  
Deferred lease obligations on closed stores     244,000   3,587,000  
Cash payments     (6,982,000)   (549,000)  
Severance and miscellaneous other store closing costs         1,600,000  
Balance at the end of the period 325,000   325,000   12,670,000 12,670,000
Severance Accrual
           
Changes in restructuring and impairment charges            
Balance at the beginning of the period     858,000      
Restructuring charges         1,168,000  
Total charges (credits)         1,168,000  
Cash payments     (858,000)   (310,000)  
Balance at the end of the period         858,000 858,000
Lease Termination Obligations
           
Changes in restructuring and impairment charges            
Balance at the beginning of the period     11,812,000      
Non-cash adjustments     (6,263,000)      
Restructuring charges     314,000   8,225,000  
Total charges (credits)     (5,949,000)   8,225,000  
Deferred lease obligations on closed stores     244,000   3,587,000  
Cash payments     (5,782,000)      
Balance at the end of the period 325,000   325,000   11,812,000 11,812,000
Asset Impairment
           
Changes in restructuring and impairment charges            
Asset impairment charges     139,000   11,445,000  
Total charges (credits)     139,000   11,445,000  
Non-cash charges     (139,000)   (11,445,000)  
Other
           
Changes in restructuring and impairment charges            
Restructuring charges     342,000   345,000  
Total charges (credits)     342,000   345,000  
Non-cash charges         (106,000)  
Cash payments     $ (342,000)   $ (239,000)  
XML 39 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRUCTURING AND IMPAIRMENT (Tables)
9 Months Ended
Oct. 27, 2012
RESTRUCTURING AND IMPAIRMENT  
Schedule of restructuring activity

 

 

 

 

 

 

Lease

 

 

 

 

 

 

 

 

 

Severance

 

Termination

 

Asset

 

 

 

 

 

 

 

Accrual

 

Obligations

 

Impairment

 

Other

 

Total

 

Balance, February 26, 2011

 

$

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

11,445

 

 

11,445

 

Restructuring charges

 

1,168

 

8,225

 

 

345

 

9,738

 

Total charges

 

1,168

 

8,225

 

11,445

 

345

 

21,183

 

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(11,445

)

(106

)

(11,551

)

Deferred lease obligations on closed stores

 

 

3,587

 

 

 

3,587

 

Cash payments

 

(310

)

 

 

(239

)

(549

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, January 28, 2012

 

858

 

11,812

 

 

 

12,670

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

139

 

 

139

 

Non-cash adjustments

 

 

(6,263

)

 

 

(6,263

)

Restructuring charges

 

 

314

 

 

342

 

656

 

Total charges (credits)

 

 

(5,949

)

139

 

342

 

(5,468

)

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(139

)

 

(139

)

Deferred lease obligations on closed stores

 

 

244

 

 

 

244

 

Cash payments

 

(858

)

(5,782

)

 

(342

)

(6,982

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, October 27, 2012

 

$

 

$

325

 

$

 

$

 

$

325

 

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XML 41 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Cash flows from operating activities:    
Net loss $ (12,026) $ (39,331)
Adjustments to reconcile net loss to net cash used in operating activities:    
Depreciation and amortization 14,384 17,164
Amortization of premium on investments 11 113
Amortization of financing costs 18  
Deferred lease related liabilities (3,100) (1,796)
Stock-based compensation expense 1,536 2,158
Loss on disposal of assets 34  
Impairment of store assets 139 11,445
Gain on investments, net (531) (62)
Changes in operating assets and liabilities:    
Increase in accounts receivable (977) (3,533)
Increase in merchandise inventories (18,732) (18,961)
(Increase) decrease in prepaid expenses 595 (2,048)
Decrease in income taxes receivable 352 5,441
Increase in other current assets (71)  
Decrease in other assets 184 36
Increase in accounts payable 8,088 21,090
Decrease in accrued liabilities (7,405) (4,884)
Decrease in lease termination liabilities (8,032)  
Increase (decrease) in other liabilities 10 (106)
Net cash used in operating activities (25,523) (13,274)
Cash flows from investing activities:    
Purchases of property, equipment and improvements (3,113) (11,113)
Proceeds from sale of furniture, fixtures and equipment 35  
Purchases of investments   (35,712)
Sales of investments 21,403 57,446
Net cash provided by investing activities 18,325 10,621
Cash flows from financing activities:    
Shares redeemed for payroll taxes (25) (138)
Financing costs (350)  
Dividends paid   (6,426)
Net cash used in financing activities (375) (6,564)
Net decrease in cash and cash equivalents (7,573) (9,217)
Cash and cash equivalents at beginning of period 40,782 43,712
Cash and cash equivalents at end of period $ 33,209 $ 34,495
XML 42 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Oct. 27, 2012
Jan. 28, 2012
CONDENSED CONSOLIDATED BALANCE SHEETS    
Preferred stock, par value (in dollars per share) $ 0.01 $ 0.01
Preferred stock, shares authorized 1,000 1,000
Preferred stock, shares outstanding 0 0
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 74,000 74,000
Common stock, shares issued 46,775 45,819
Common stock, shares outstanding 36,984 36,028
Common stock held in treasury, shares 9,791 9,791
XML 43 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES
9 Months Ended
Oct. 27, 2012
INCOME TAXES  
INCOME TAXES

NOTE 10 — INCOME TAXES

 

As of October 27, 2012, our liability for unrecognized tax benefits associated with uncertain tax positions was approximately $0.9 million and the total amount of unrecognized tax benefits that, if recognized, would affect the effective tax rate was $0.8 million.  We recognize interest and penalties related to unrecognized tax benefits as components of income tax expense.  At October 27, 2012, we had accrued approximately $0.5 million for the potential payment of interest and penalties.

 

We are subject to U.S. federal income tax and the income tax of various state and local jurisdictions.  Fiscal years 2009 through the transition period remain subject to examination by the Internal Revenue Service.  With few exceptions, we are not subject to state income tax examination by tax authorities for taxable years prior to fiscal 2007.  At October 27, 2012, we had ongoing audits in various state jurisdictions.  We do not believe that the resolution of these examinations will have a significant impact on our liability for unrecognized tax benefits.

 

As of October 27, 2012, we had a full valuation allowance against our net deferred tax assets.  Deferred income tax assets represent potential future income tax benefits.  Realization of these assets is ultimately dependent upon future taxable income.  We have incurred a net cumulative loss as measured by the results of the prior three years.  ASC 740 “Income Taxes,” requires that deferred tax assets be reduced by a valuation allowance if, based on all available evidence, it is considered more likely than not that some or all of the recorded deferred tax assets will not be realized in a future period.  Forming a conclusion that a valuation allowance is not needed is difficult when negative evidence such as cumulative losses exists.  As a result of our evaluation, we have concluded that there is insufficient positive evidence to overcome the negative evidence related to our cumulative losses.  Accordingly, we have maintained the full valuation allowance against our net deferred tax assets established in the third quarter of the fiscal year ended February 26, 2011.  Recording the valuation allowance does not prevent us from using the deferred tax assets in the future when profits are realized.

 

As of October 27, 2012, we had federal and state net operating loss carryforwards which may reduce future taxable income.  Approximately $20.9 million in federal tax benefits are available from these loss carryforwards and an additional $0.6 million is available in tax credit carryforwards.  The state loss carryforwards may result in state tax benefits of approximately $2.1 million.  The federal net loss carryforwards expire in November 2031 and beyond.  The state net loss carryforwards will expire beginning in November 2014 and beyond.  Additionally, we have charitable contribution carryforwards that will expire in 2014.

XML 44 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
9 Months Ended
Oct. 27, 2012
Nov. 16, 2012
Document and Entity Information    
Entity Registrant Name CHRISTOPHER & BANKS CORP  
Entity Central Index Key 0000883943  
Document Type 10-Q  
Document Period End Date Oct. 27, 2012  
Amendment Flag false  
Current Fiscal Year End Date --01-28  
Entity Current Reporting Status Yes  
Entity Filer Category Accelerated Filer  
Entity Common Stock, Shares Outstanding   36,983,679
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q3  
XML 45 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
EARNINGS PER SHARE
9 Months Ended
Oct. 27, 2012
EARNINGS PER SHARE  
EARNINGS PER SHARE

NOTE 11 — EARNINGS PER SHARE

 

We calculate earnings per share under the guidance in ASC 260-10, “Earnings per Share,” which clarifies that unvested share-based payment awards that contain nonforfeitable rights to receive dividends or dividend equivalents (whether paid or unpaid) are considered participating securities, and thus, should be included in the two-class method of computing earnings per share (“EPS”).  Participating securities under this statement include our unvested employee restricted stock awards with time-based vesting, which receive nonforfeitable dividend payments.

 

The calculation of EPS for common stock shown below excludes the income attributable to these unvested employee restricted stock awards from the numerator and excludes the dilutive impact of these shares from the denominator.

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Numerator (in thousands):

 

 

 

 

 

 

 

 

 

Net income (loss) attributable to Christopher & Banks Corporation

 

$

3,583

 

$

(28,239

)

$

(12,026

)

$

(39,331

)

Income allocated to participating securities

 

(61

)

(13

)

 

(39

)

Net income (loss) available to common shareholders

 

$

3,522

 

$

(28,252

)

$

(12,026

)

$

(39,370

)

 

 

 

 

 

 

 

 

 

 

Denominator (in thousands):

 

 

 

 

 

 

 

 

 

Weighted average common shares outstanding - basic

 

35,643

 

35,585

 

35,626

 

35,542

 

Dilutive shares

 

387

 

 

 

 

Weighted average common and common equivalent shares outstanding - diluted

 

36,030

 

35,585

 

35,626

 

35,542

 

 

 

 

 

 

 

 

 

 

 

Net income (loss) per common share:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

Diluted

 

$

0.10

 

$

(0.79

)

$

(0.34

)

$

(1.11

)

 

Total stock options and restricted shares of 1.1 million 1.8 million were excluded from the shares used in the computation of diluted earnings per share for the thirteen and thirty-nine-week periods ended October 27, 2012, respectively, as they were anti-dilutive.  Total stock options and restricted shares of 2.8 million were excluded from the shares used in the computation of diluted earnings per share for the thirteen and thirty-nine-week periods ended November 26, 2011 as they were anti-dilutive.

XML 46 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 27, 2012
Nov. 26, 2011
Net sales $ 117,263 $ 123,896 $ 314,321 $ 343,957
Costs and expenses:        
Merchandise, buying and occupancy 75,952 97,056 222,671 246,285
Selling, general and administrative 32,917 37,552 94,376 107,487
Depreciation and amortization 4,445 5,314 14,384 17,164
Restructuring and impairment 333 12,199 (5,161) 12,199
Total costs and expenses 113,647 152,121 326,270 383,135
Operating income (loss) 3,616 (28,225) (11,949) (39,178)
Other income 6 104 96 259
Income (loss) before income taxes 3,622 (28,121) (11,853) (38,919)
Income tax provision 39 118 173 412
Net income (loss) $ 3,583 $ (28,239) $ (12,026) $ (39,331)
Basic earnings (loss) per share:        
Net income (loss) (in dollars per share) $ 0.10 $ (0.79) $ (0.34) $ (1.11)
Basic shares outstanding (in shares) 35,643 35,585 35,626 35,542
Diluted earnings (loss) per share:        
Net income (loss) (in dollars per share) $ 0.10 $ (0.79) $ (0.34) $ (1.11)
Diluted shares outstanding (in shares) 36,030 35,585 35,626 35,542
Dividends per share (in dollars per share)   $ 0.06   $ 0.18
XML 47 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY
9 Months Ended
Oct. 27, 2012
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY  
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY

NOTE 5 — MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY

 

Our merchandise inventories consisted of the following (in thousands):

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

 

 

 

 

 

 

Merchandise - in store/e-Commerce

 

$

52,791

 

$

32,599

 

Merchandise - in transit

 

5,395

 

6,856

 

 

 

$

58,186

 

$

39,455

 

 

We do not have long-term purchase commitments or arrangements with any of our suppliers or agents.  During the nine months ended October 27, 2012, one of our vendors supplied approximately 18% of our merchandise purchases and another vendor supplied approximately 11% of our merchandise purchases.  For the nine months ended November 26, 2011, one vendor supplied 18% of our merchandise purchases.  No other vendors supplied greater than 10% of our merchandise purchases for the nine months ended October 27, 2012 and November 26, 2011.

 

Although we have strong relationships with these vendors, there can be no assurance that these relationships can be maintained in the future or that the vendors will continue to supply merchandise to us.  If there should be any significant disruption in the supply of merchandise from these vendors, we believe that we will be able to shift production to other suppliers so as to continue to secure the required volume of product.  Nevertheless, it is possible that any significant disruption in supply could have a material adverse impact on our financial position or results of operations.

 

Beginning with its August 2012 merchandise assortment, the Company changed its payment terms from net 30 days to net 45 days from receipt of goods in its distribution center for vendors representing approximately 60% of its merchandise purchases.

XML 48 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVESTMENTS
9 Months Ended
Oct. 27, 2012
INVESTMENTS  
INVESTMENTS

NOTE 4 — INVESTMENTS

 

The Company had no investments as of October 27, 2012.  Investments consisted of the following (in thousands) as of January 28, 2012:

 

 

 

Jan 28, 2012

 

 

 

Amortized

 

Unrealized

 

Unrealized

 

Estimated

 

Description

 

Cost

 

Gains

 

Losses

 

Fair Value

 

 

 

 

 

 

 

 

 

 

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,643

 

$

19

 

$

2

 

$

5,660

 

U.S. Agency securities

 

2,000

 

 

 

2,000

 

 

 

 

 

 

 

 

 

 

 

Total short-term investments

 

7,643

 

19

 

2

 

7,660

 

 

 

 

 

 

 

 

 

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,200

 

84

 

 

13,284

 

Total long-term investments

 

13,200

 

84

 

 

13,284

 

Total investments

 

$

20,843

 

$

103

 

$

2

 

$

20,944

 

 

We account for our investments in accordance with ASC 320-10, “Investments — Debt and Equity Securities.”  As of January 28, 2012, our available-for-sale investment securities consisted of municipal bonds.  These securities were classified as available-for-sale as we did not enter into these investments for speculative purposes or intend to actively buy and sell the securities in order to generate profits on differences in price.  Our primary investment objective is preservation of principal.  During the first nine months of fiscal 2012, there were no purchases of available-for-sale securities and proceeds from the sale of available-for-sale securities were approximately $21.4 million.  Gross realized gains and losses on the sale of available-for-sale securities during the nine months ended October 27, 2012 were not material.

 

Our available-for-sale securities are reviewed for possible impairment at least quarterly, or more frequently if circumstances arise which, in our estimation, may indicate impairment.  When the fair value of the securities declines below the amortized cost basis, impairment is indicated and it must be determined whether it is other-than-temporary.  Impairment is considered to be other-than-temporary if we (i) intend to sell the security, (ii) will more likely than not be forced to sell the security before recovering its cost, or (iii) do not expect to recover the securities’ amortized cost basis.  If the decline in fair value is considered other-than-temporary, the cost basis of the security is adjusted to its fair market value and the realized loss is reported in earnings.  Subsequent increases or decreases in fair value considered other-than-temporary are reported in equity as other comprehensive income (loss).  There were no other-than-temporary impairments of our available-for-sale securities during the thirty-nine weeks ended October 27, 2012.

XML 49 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
CHANGE IN FISCAL YEAR-END (Tables)
9 Months Ended
Oct. 27, 2012
CHANGE IN FISCAL YEAR-END  
Schedule of unaudited financial information

 

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

October 29,

 

October 27,

 

October 29,

 

 

 

2012

 

2011

 

2012

 

2011

 

 

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

(unaudited)

 

Net sales

 

$

117,263

 

$

114,553

 

$

314,321

 

$

330,535

 

Operating income (loss)

 

3,616

 

(13,993

)

(11,949

)

(28,544

)

Income tax provision (benefit)

 

39

 

(133

)

173

 

(139

)

Net income (loss)

 

$

3,583

 

$

(13,749

)

$

(12,026

)

$

(28,131

)

 

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Basic shares outstanding

 

35,643

 

35,578

 

35,626

 

35,527

 

 

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per share:

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

0.10

 

$

(0.39

)

$

(0.34

)

$

(0.79

)

 

 

 

 

 

 

 

 

 

 

Diluted shares outstanding

 

36,030

 

35,578

 

35,626

 

35,527

 

XML 50 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS
9 Months Ended
Oct. 27, 2012
FAIR VALUE MEASUREMENTS  
FAIR VALUE MEASUREMENTS

NOTE 12 — FAIR VALUE MEASUREMENTS

 

Under ASC 820-10, “Fair Value Measurements and Disclosures,” fair value is defined as the exit price, or the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants as of the measurement date.  ASC 820-10 also establishes a hierarchy for inputs used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used when available.  Observable inputs are inputs market participants would use in valuing the asset or liability and are developed based on market data obtained from sources independent of us.  Unobservable inputs are inputs that reflect our assumptions about the factors market participants would use in valuing the asset or liability that are developed based upon the best information available under the circumstances.

 

The hierarchy is broken down into three levels.  Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities.  Level 2 inputs include quoted 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 inputs (other than quoted prices) that are observable for the asset or liability, either directly or indirectly.  Level 3 inputs are unobservable inputs for the asset or liability.  Categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement.

 

Assets and Liabilities that are Measured at Fair Value on a Recurring Basis:

 

Historically, fair value under ASC 820-10 has applied to our available-for-sale securities.  We had no available-for-sale securities at October 27, 2012.  We did have approximately $20.9 million of available-for-sale securities at January 28, 2012.  These financial assets were carried at fair value following the requirements of ASC 820-10.

 

The following table provides information by level for assets and liabilities that are measured at fair value on a recurring basis (in thousands):

 

 

 

 

 

Fair Value Measurements

 

 

 

Fair Value at

 

Using Inputs Considered as

 

Description

 

January 28, 2012

 

Level 1

 

Level 2

 

Level 3

 

Short-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

$

5,660

 

$

 

$

5,660

 

$

 

U.S. Agency securities

 

2,000

 

 

2,000

 

 

Total current assets

 

7,660

 

 

7,660

 

 

Long-term investments:

 

 

 

 

 

 

 

 

 

Available-for-sale securities:

 

 

 

 

 

 

 

 

 

Municipal bonds

 

13,284

 

 

13,284

 

 

Total non-current assets

 

13,284

 

 

13,284

 

 

Total assets

 

$

20,944

 

$

 

$

20,944

 

$

 

 

Following is a description of the valuation methodologies used for financial assets and liabilities measured at fair value:

 

Available-for-sale securities:  Our available-for-sale securities were valued based on quoted prices for similar assets in active markets or quoted prices for identical or similar assets in markets in which there were fewer transactions.

 

Assets and Liabilities that are Measured at Fair Value on a Non-recurring Basis:

 

 

 

 

 

 

 

 

 

 

 

Realized

 

 

 

Thirty-nine

 

 

 

 

 

 

 

Gains (Losses)

 

 

 

Weeks Ended

 

Fair Value Measurements

 

Thirty-nine

 

 

 

October 27,

 

Using Inputs Considered as

 

Weeks Ended

 

Description

 

2012

 

Level 1

 

Level 2

 

Level 3

 

October 27, 2012

 

Assets:

 

 

 

 

 

 

 

 

 

 

 

Long-lived assets held and used

 

$

34

 

$

 

$

 

$

34

 

$

(139

)

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities:

 

$

 

$

 

$

 

$

 

$

 

 

In accordance with the provisions of the Impairment or Disposal of Long-Lived Assets Subsections of FASB Codification Subtopic 360-10, long-lived assets held and used with a carrying amount of $172,000 were written down to their fair value of $34,000, during the first quarter of fiscal 2012, resulting in an impairment charge of $139,000 which was included in earnings for the thirty-nine weeks ended October 27, 2012.

 

Our assessment of the recoverability of the carrying value of our assets involves the projection of future cash flows, which requires the use of significant estimates and assumptions.  Differences in circumstances or estimates could produce significantly different results.  The current challenging economic environment which affects the retail industry makes it possible that additional long-lived asset impairments could be identified and recorded in future periods.

XML 51 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
CREDIT FACILITY
9 Months Ended
Oct. 27, 2012
CREDIT FACILITY  
CREDIT FACILITY

NOTE 8 — CREDIT FACILITY

 

On July 12, 2012, Christopher & Banks Corporation and its two subsidiaries, Christopher & Banks, Inc. and Christopher & Banks Company (collectively the “Borrowers”), entered into a Credit Agreement (the “New Credit Facility”) with Wells Fargo Bank, National Association (“Wells Fargo”) as Lender.  The New Credit Facility replaced our prior credit facility with Wells Fargo.  The New Credit Facility provides us with revolving credit loans of up to $50.0 million in the aggregate, subject to a borrowing base formula based primarily on eligible credit card receivables, inventory and real estate, as defined in the New Credit Facility, and up to $10.0 million of which may be drawn in the form of standby and documentary letters of credit. The New Credit Facility expires in July 2017.

 

We recorded approximately $0.4 million of deferred financing costs in the second quarter of fiscal 2012 in connection with the New Credit Facility.  The deferred financing costs have been recorded within other assets on the consolidated balance sheet and will be amortized as interest expense over the related term of the New Credit Facility.

 

Borrowings under the New Credit Facility will generally accrue interest at a rate ranging from 2.0% to 2.5% over the London Interbank Offered Rate (“LIBOR”) or 1.0% to 1.5% over Wells Fargo’s prime rate, based on the amount of excess availability as such term is defined in the New Credit Facility.  Letters of credit fees range from 1.5% to 2.5%, depending upon excess availability.

 

The New Credit Facility contains certain affirmative and negative covenants.  The affirmative covenants include certain reporting requirements, maintenance of properties, payment of taxes and insurance, compliance with laws, environmental compliance and other provisions customary in such agreements.  Negative covenants limit or restrict, among other things, secured and unsecured indebtedness, fundamental changes in the business, investments, liens and encumbrances, transactions with affiliates and other matters customarily restricted in such agreements.  The sole financial covenant contained in the New Credit Facility requires us to maintain availability at least equal to the greater of (a) ten percent (10%) of the borrowing base or (b) $3.0 million.

 

The New Credit Facility contains events of default that include failure to pay principal or interest when due, failure to comply with the covenants set forth in the New Credit Facility, bankruptcy events, cross-defaults and the occurrence of a change of control, subject to the grace periods, qualifications and thresholds as specified in the New Credit Facility.  If an event of default under the New Credit Facility occurs and is continuing, the loan commitments may be terminated and the principal amount outstanding, together with all accrued unpaid interest and other amounts owing in respect thereof, may be declared immediately due and payable.

 

Our obligations under the New Credit Facility are secured by the assets of the Company and its subsidiaries pursuant to a Security Agreement, dated July 12, 2012 (the “Security Agreement”).  Pursuant to the Security Agreement, we pledged substantially all of our assets as collateral security for the loans to be made pursuant to the New Credit Facility, including accounts owed to us, bank accounts, inventory, other tangible and intangible personal property, intellectual property (including patents and trademarks), and stock or other evidences of ownership of 100% of all of the Company’s subsidiaries.

 

We had no revolving credit loan borrowings under our previous or New Credit Facility during the first nine months of fiscal 2012 or the entire transition period.  Historically, we have utilized our credit facility only to open letters of credit.  The total borrowing base at October 27, 2012 was $46.4 million.  As of October 27, 2012, we had open on-demand letters of credit of $3.7 million.  Accordingly, after reducing the borrowing base for the open letters of credit and the required minimum availability of $3.0 million, or 10% of the borrowing base, the net availability of revolving credit loans under the New Credit Facility was $38.1 million at October 27, 2012.

XML 52 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET
9 Months Ended
Oct. 27, 2012
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET  
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET

NOTE 6 — PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET

 

Property, equipment and improvements, net consisted of the following (in thousands):

 

 

 

Estimated

 

October 27,

 

January 28,

 

Description

 

Useful Life

 

2012

 

2012

 

Land

 

 

$

1,597

 

$

1,597

 

Corporate office, distribution center and related building improvements

 

25 years

 

12,322

 

12,319

 

Store leasehold improvements

 

Term of related lease, typically 10 years

 

59,445

 

62,961

 

Store furniture and fixtures

 

3-10 years

 

75,731

 

79,793

 

Corporate office and distribution center furniture, fixtures and equipment

 

7 years

 

5,547

 

5,562

 

Computer and point-of-sale hardware and software

 

3-5 years

 

34,733

 

34,039

 

Construction in progress

 

 

 

705

 

518

 

 

 

 

 

190,080

 

196,789

 

Less accumulated depreciation and amortization

 

 

 

(145,116

)

(140,346

)

Net property, equipment and improvements

 

 

 

$

44,964

 

$

56,443

 

 

We review long-lived assets with definite lives at least annually, or whenever events or changes in circumstances indicate that the carrying value of the asset may not be recoverable.  We recorded $0.1 million for long-lived asset impairment in the quarter ended April, 28, 2012 and no asset impairment charges were recorded in the quarters ended July 28, 2012 and October 27, 2012.  The current challenging economic environment and general economic uncertainty affecting the retail industry make it reasonably possible that long-lived asset impairments could be identified and recorded in future periods.

XML 53 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACCRUED LIABILITIES
9 Months Ended
Oct. 27, 2012
ACCRUED LIABILITIES  
ACCRUED LIABILITIES

NOTE 7 — ACCRUED LIABILITIES

 

Other accrued liabilities consisted of the following (in thousands):

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

Gift card and store credit liabilities

 

$

5,208

 

$

9,922

 

Accrued Friendship Rewards Program loyalty liability

 

4,041

 

3,376

 

Accrued income, sales and other taxes payable

 

2,805

 

2,097

 

Accrued occupancy-related expenses

 

969

 

4,549

 

Other

 

10,497

 

5,622

 

 

 

$

23,520

 

$

25,566

 

XML 54 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION
9 Months Ended
Oct. 27, 2012
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION  
STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION

NOTE 9 — STOCKHOLDERS’ EQUITY AND STOCK-BASED COMPENSATION

 

Dividends

 

In fiscal 2004, our Board of Directors declared our first cash dividend.  The declaration provided for an on-going cash dividend of $0.04 per share to be paid quarterly, subject to Board approval.  In July 2006, our Board of Directors authorized an increase in the quarterly cash dividend to $0.06 per share.  A quarterly dividend was paid each quarter through October 2011.  In December 2011, we announced that our Board of Directors had suspended the payment of a quarterly dividend.

 

Stockholder Rights Plan

 

On July 5, 2012, we adopted a stockholder rights plan (the “Rights Plan”).  The Rights Plan is embodied in the Rights Agreement dated as of July 5, 2012 (the “Rights Agreement”), between the Company and Wells Fargo Bank, National Association (the “Rights Agent”).  On July 5, 2012, the Board of Directors of the Company also authorized the issuance, and declared a dividend, of one preferred share purchase right (a “Right”) for each outstanding share of the Company’s common stock, par value $0.01 per share (the “Common Shares”), outstanding at the close of business on July 16, 2012.

 

Initially, no separate certificates representing the Rights will be issued. Under the Rights Plan, the Rights would be distributed upon the earlier to occur of (i) the tenth day after the first date of public announcement by the Company or an Acquiring Person (an Acquiring Person generally is a person that, together with its affiliates and associates, is the beneficial owner of 15% or more of the outstanding Common Shares) (including, without limitation, pursuant to a report filed or amended pursuant to Section 13(d) of the Exchange Act) that a person has become an Acquiring Person, or such earlier date as a majority of the Board of Directors of the Company shall become aware of the existence of an Acquiring Person (the “Shares Acquisition Date”) or (ii) the tenth day (or such later date as may be determined by action of the Board of Directors of the Company prior to such time as any person becomes an Acquiring Person) after the date of the commencement by any person (other than certain persons, including the Company, any subsidiary of the Company, and Company benefit plan related holders) of a tender or exchange offer upon the successful consummation of which such person, or any affiliate or associate of such person, would be an Acquiring Person (including any such date which is after the date of the Rights Agreement and prior to the issuance of the Rights) (the earlier of such dates, the “Distribution Date”).  Each Right entitles the registered holder to purchase from the Company one one-thousandth (1/1000th) of a share of Series A Junior Participating Preferred Stock, $0.01 par value (the “Preferred Shares”), of the Company at a price of $8.25 (the “Purchase Price”), subject to adjustment. The description and terms of the Rights are set forth in the Rights Agreement between the Company and the Rights Agent.

 

In the event any person becomes an Acquiring Person, then each holder of a Right, other than Rights beneficially owned by the Acquiring Person and its affiliates and associates (which will thereafter be null and void for all purposes of the Rights Agreement and the holder thereof shall thereafter have no rights with respect to such Rights, whether under the Rights Agreement or otherwise), will thereafter have the right to receive upon exercise, in lieu of Preferred Shares, that number of Common Shares having a market value of two times the Purchase Price. Under some circumstances, upon payment of the Purchase Price, the Company may substitute other equity and debt securities, property, cash or combinations thereof, including combinations with Common Shares, of equal value to the number of Common Shares for which the Right is exercisable.

 

The Rights will expire at 5:00 p.m. (Eastern time) on July 5, 2014 (the “Expiration Date”), unless the Expiration Date is extended or unless the Rights are earlier redeemed or exchanged by the Company, in each case, as described in the Rights Agreement.  Until a Right is exercised, the holder thereof, as such, will have no rights as a stockholder of the Company, including, without limitation, the right to vote or to receive dividends. The foregoing is a summary of the Rights Plan, as filed with the Securities and Exchange Commission in our Form 8-K filing, and is qualified in its entirety by reference to the detailed terms and conditions as set forth in the Rights Plan.

 

Stock-Based Compensation

 

We account for stock-based compensation in accordance with the provisions of ASC 718-10, “Stock Compensation.” Under various plans, we may grant options to purchase common stock to employees and non-employee members of our Board of Directors at a price not less than 100% of the fair market value of our common stock on the option grant date.  In general, options granted to employees vest over three years and are exercisable up to ten years from the date of grant, and options granted to Directors typically vest over a thirty-month period and are exercisable up to ten years from the grant date.

 

We may also grant shares of restricted stock to our employees and non-employee members of our Board of Directors.  The grantee cannot transfer the shares before the respective shares vest.  Shares of nonvested restricted stock are considered to be currently issued and outstanding.  Restricted stock grants to employees generally have original vesting schedules of one to three years, while restricted grants to Directors typically vest over six months.

 

Our restricted stock awards are generally subject to forfeiture if employment or service terminates prior to the lapse of the restrictions.  In addition, certain of our restricted stock awards have performance-based vesting provisions and are subject to forfeiture, in whole or in part, if these performance conditions are not achieved.  We assess, on an ongoing basis, the probability of whether the performance criteria will be achieved and, once it is deemed probable, we begin recognizing compensation expense over the relevant performance period.  For those awards not subject to performance criteria, we expense the cost of the restricted stock awards, which is determined to be the fair market value of the shares at the date of grant, on a straight-line basis over the vesting period.

 

The fair market value of our restricted stock is determined based on the closing price of our common stock on the grant date.  Time-based grants, but not performance-based grants, of restricted stock participated in dividend payments to the extent dividends were declared and paid prior to vesting.  Total pre-tax compensation expense related to stock-based awards for the thirty-nine weeks ended October 27, 2012 and November 26, 2011 was approximately $1.5 million and $2.2 million, respectively.

 

Methodology Assumptions

 

We use the Black-Scholes option-pricing model to value our stock options for grants to our employees and non-employee directors.  Using this option-pricing model, the fair value of each stock option award is estimated on the date of grant and is expensed on a straight-line basis over the vesting period, as the stock options are subject to pro-rata vesting.  The expected volatility assumption is based on the historical volatility of our stock over a term equal to the expected term of the option granted.  The expected term of stock option awards granted is derived from our historical exercise experience and represents the period of time that awards are expected to be outstanding.  The risk-free interest rate is based on the implied yield on a U.S. Treasury constant maturity with a remaining term equal to the expected term of the option granted.

 

The weighted average assumptions relating to the valuation of our stock options granted during the thirteen and thirty-nine week periods ended October 27, 2012 and November 26, 2011 were as follows:

 

 

 

Thirteen Weeks Ended

 

Thirty-nine Weeks Ended

 

 

 

October 27,

 

November 26,

 

October 27,

 

November 26,

 

 

 

2012

 

2011

 

2012

 

2011

 

Expected dividend yield

 

0.0

%

6.04

%

0.0

%

4.0

%

Expected volatility

 

76.7

%

72.4

%

73.7

%

71.1

%

Risk-free interest rate

 

0.6

%

0.9

%

1.0

%

2.1

%

Expected term in years

 

5.0

 

5.0

 

4.9

 

5.0

 

 

Stock-Based Compensation Activity

 

The following table presents a summary of our stock option activity for the thirty-nine weeks ended October 27, 2012:

 

 

 

 

 

 

 

 

 

 

 

Weighted

 

 

 

 

 

Weighted

 

Aggregate

 

 

 

Average

 

 

 

Number

 

Average

 

Intrinsic

 

Weighted

 

Remaining

 

 

 

of

 

Exercise

 

Value

 

Average

 

Contractual

 

 

 

Shares

 

Price

 

(in thousands)

 

Fair Value

 

Life

 

Outstanding, beginning of period

 

2,826,949

 

$

7.48

 

$

 

$

3.19

 

 

 

Vested

 

1,207,311

 

9.91

 

 

4.01

 

 

 

Unvested

 

1,619,638

 

5.67

 

 

2.58

 

 

 

Granted

 

614,844

 

1.93

 

829

 

1.15

 

 

 

Exercised

 

 

 

 

 

 

 

Canceled - vested (expired)

 

(690,617

)

7.31

 

 

3.06

 

 

 

Canceled - unvested (forfeited)

 

(1,021,942

)

5.56

 

 

2.50

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Outstanding, end of period

 

1,729,234

 

$

6.71

 

$

900

 

$

2.56

 

7.59

 

 

 

 

 

 

 

 

 

 

 

 

 

Vested

 

681,399

 

11.86

 

 

 

4.79

 

5.41

 

Unvested

 

1,047,835

 

3.36

 

900

 

1.71

 

9.01

 

Exercisable, end of period

 

681,399

 

11.86

 

 

4.79

 

5.41

 

 

The aggregate intrinsic value in the preceding table represents the total pre-tax intrinsic value (the difference between our closing stock price on the last trading day of the quarter and the exercise price, multiplied by the number of in-the-money options as of the last trading day of the quarter) that would have been received by the option holders had all option holders exercised their options on October 27, 2012.

 

The following table presents a summary of our restricted stock activity for the thirty-nine weeks ended October 27, 2012:

 

 

 

Number

 

Weighted

 

 

 

of

 

Average

 

 

 

Shares

 

Fair Value

 

Unvested, beginning of period

 

446,904

 

$

5.03

 

Granted

 

1,075,452

 

1.67

 

Vested

 

(64,745

)

6.62

 

Canceled - unvested (forfeited)

 

(118,862

)

3.75

 

 

 

 

 

 

 

Unvested, end of period

 

1,338,749

 

$

2.37

 

 

The total fair value of shares of restricted stock that vested during the thirty-nine weeks ended October 27, 2012 and November 26, 2011 was approximately $0.4 million and $0.4 million, respectively.  As of October 27, 2012, there was approximately $1.5 million of unrecognized stock-based compensation expense, which is expected to be recognized over a weighted average period of approximately 1.5 years.

XML 55 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
CHANGE IN FISCAL YEAR-END (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 29, 2011
Oct. 27, 2012
Nov. 26, 2011
Oct. 29, 2011
CHANGE IN FISCAL YEAR-END            
Net sales $ 117,263 $ 123,896 $ 114,553 $ 314,321 $ 343,957 $ 330,535
Operating income (loss) 3,616 (28,225) (13,993) (11,949) (39,178) (28,544)
Income tax provision (benefit) 39 118 (133) 173 412 (139)
Net income (loss) $ 3,583 $ (28,239) $ (13,749) $ (12,026) $ (39,331) $ (28,131)
Basic earnings (loss) per share:            
Net income (loss) (in dollars per share) $ 0.10 $ (0.79) $ (0.39) $ (0.34) $ (1.11) $ (0.79)
Basic shares outstanding (in shares) 35,643 35,585 35,578 35,626 35,542 35,527
Diluted earnings (loss) per share:            
Net income (loss) (in dollars per share) $ 0.10 $ (0.79) $ (0.39) $ (0.34) $ (1.11) $ (0.79)
Diluted shares outstanding (in shares) 36,030 35,585 35,578 35,626 35,542 35,527
XML 56 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT REPORTING
9 Months Ended
Oct. 27, 2012
SEGMENT REPORTING  
SEGMENT REPORTING

NOTE 14 — SEGMENT REPORTING

 

We operate in the retail apparel industry in which we primarily design, source and sell women’s apparel catering to customers generally ranging in age from 45 to 60 who are typically part of a segment of the female baby boomer demographic.  We have identified two operating segments (Christopher & Banks and C.J. Banks) as defined by ASC 820 “Disclosures about Segments of an Enterprise and Related Information.” Our Christopher & Banks and C.J. Banks operating segments have been aggregated into one reportable segment based on the similar nature of products sold, methods of sourcing, merchandising and distribution processes involved, target customers and economic characteristics of the two operating segments.

 

In the following table, the “Christopher & Banks/C.J. Banks” reportable segment includes activity generated by our Christopher & Banks and C.J. Banks operations.  The “Corporate/Administrative” column, which primarily represents operating activity at our corporate office and distribution center facility, is presented to allow for reconciliation of segment-level net sales, operating income (loss) and total assets to our consolidated net sales, operating income (loss) and total assets.  Segment operating income (loss) includes only net sales, merchandise gross margin and direct store expenses with no allocation of corporate overhead.

 

For the thirty-nine weeks ended October 27, 2012, the Company recorded a net benefit of approximately $5.2 million related to restructuring and impairment of which $0.1 million related to store-level asset impairment charges included in the operating loss for the Christopher & Banks/C.J. Banks segment.  In connection with our restructuring initiative announced in the third quarter of the transition period, we recorded $11.4 million of store-level, non-cash asset impairment charges.

 

Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirteen Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

117,263

 

$

 

$

117,263

 

Operating income (loss)

 

16,260

 

(12,644

)

3,616

 

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirteen Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

123,896

 

$

 

$

123,896

 

Operating loss

 

(13,917

)

(14,308

)

(28,225

)

Total assets

 

107,599

 

97,195

 

204,794

 

 

Segment Reporting (in thousands):

 

 

 

Christopher & Banks/

 

Corporate/

 

 

 

 

 

C.J. Banks

 

Administrative

 

Consolidated

 

Thirty-nine Weeks Ended October 27, 2012

 

 

 

 

 

 

 

Net sales

 

$

314,321

 

$

 

$

314,321

 

Operating income (loss)

 

23,266

 

(35,215

)

(11,949

)

Total assets

 

97,037

 

47,963

 

145,000

 

 

 

 

 

 

 

 

 

Thirty-nine Weeks Ended November 26, 2011

 

 

 

 

 

 

 

Net sales

 

$

343,957

 

$

 

$

343,957

 

Operating income (loss)

 

1,460

 

(40,638

)

(39,178

)

Total assets

 

107,599

 

97,195

 

204,794

 

XML 57 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY (Tables)
9 Months Ended
Oct. 27, 2012
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY  
Schedule of merchandise inventories

 

 

 

 

October 27,

 

January 28,

 

Description

 

2012

 

2012

 

 

 

 

 

 

 

Merchandise - in store/e-Commerce

 

$

52,791

 

$

32,599

 

Merchandise - in transit

 

5,395

 

6,856

 

 

 

$

58,186

 

$

39,455

 

XML 58 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
RELATED PARTY TRANSACTIONS (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
G-III and its related entities
   
Related Party Transactions    
Aggregate payments made by the company or its subsidiaries to related party $ 0.9 $ 2.3
G-III
   
Related Party Transactions    
Balance due to related party $ 0.4  
XML 59 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
CREDIT FACILITY (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Oct. 27, 2012
item
Jul. 28, 2012
New Credit Facility
   
CREDIT FACILITY    
Number of subsidiary borrowers under the credit agreement 2  
Deferred financing costs   $ 0.4
Percentage of borrowing base 10.00%  
Borrowing availability 3.0  
Ownership interest percentage held as collateral security 100.00%  
Borrowing base 46.4  
Open on-demand letters of credit 3.7  
New Credit Facility | Minimum
   
CREDIT FACILITY    
Letters of credit fees (as a percent) 1.50%  
New Credit Facility | Maximum
   
CREDIT FACILITY    
Letters of credit fees (as a percent) 2.50%  
New Credit Facility | Prime rate
   
CREDIT FACILITY    
Reference rate, description Prime rate  
New Credit Facility | Prime rate | Minimum
   
CREDIT FACILITY    
Interest rate added to the reference rate (as a percent) 1.00%  
New Credit Facility | Prime rate | Maximum
   
CREDIT FACILITY    
Interest rate added to the reference rate (as a percent) 1.50%  
New Credit Facility | LIBOR
   
CREDIT FACILITY    
Reference rate, description LIBOR  
New Credit Facility | LIBOR | Minimum
   
CREDIT FACILITY    
Interest rate added to the reference rate (as a percent) 2.00%  
New Credit Facility | LIBOR | Maximum
   
CREDIT FACILITY    
Interest rate added to the reference rate (as a percent) 2.50%  
Revolving credit loan
   
CREDIT FACILITY    
Maximum borrowing capacity under the credit facility 50.0  
Available borrowing capacity under the credit facility 38.1  
Standby and documentary letters of credit
   
CREDIT FACILITY    
Maximum borrowing capacity under the credit facility $ 10.0  
XML 60 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Oct. 27, 2012
Nov. 26, 2011
Oct. 27, 2012
Nov. 26, 2011
Net income (loss) $ 3,583 $ (28,239) $ (12,026) $ (39,331)
Other comprehensive income (loss), net of tax:        
Unrealized holding gains (losses) on securities arising during period, net of taxes of $0, $13, $1 and $61   (20) (2) 196
Less: reclassification adjustment for gains included in net income, net of taxes of $0, $25, $39 and $44   (39) (60) (67)
Other comprehensive income (loss)   (59) (62) 129
Comprehensive income (loss) $ 3,583 $ (28,298) $ (12,088) $ (39,202)
XML 61 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRUCTURING AND IMPAIRMENT
9 Months Ended
Oct. 27, 2012
RESTRUCTURING AND IMPAIRMENT  
RESTRUCTURING AND IMPAIRMENT

NOTE 3 — RESTRUCTURING AND IMPAIRMENT

 

In the third quarter of the transition period, we announced that, following an in-depth analysis of our store portfolio, the Board approved a plan to close approximately 100 stores, most of which were underperforming.  Ultimately, 103 stores were identified for closure.  This group of stores generated approximately $35 million of sales and store-level operating losses of approximately $11 million, which included approximately $7 million of non-cash impairment charges, on a trailing twelve-month basis through January 28, 2012.

 

Ninety of the 103 stores identified for closure were closed in the transition period.  We closed eleven stores in the first quarter of fiscal 2012 and we closed two additional stores in the second quarter, which completed the store closures related to the restructuring initiative.

 

We recorded total restructuring and asset impairment charges of approximately $21.2 million in the second half of the transition period, consisting primarily of $11.4 million of non-cash asset impairment charges, $8.2 million of net expense related to lease termination liabilities, partially offset by the reduction of deferred obligations related to closed stores, and approximately $1.6 million of severance and miscellaneous other store closing costs.  The lease termination liabilities consisted primarily of the costs of future contractual obligations related to closed store locations.  Discounted liabilities for future lease costs and management’s estimated fair value of assumed subleases of closed locations were recorded when the stores were closed and these amounts have been subject to adjustments as liabilities are settled.  In addition, management has also been negotiating with landlords to mitigate the amount of lease termination liabilities.  As a result, actual settlements have varied substantially from recorded obligations.

 

In the first quarter of fiscal 2012, we recognized a net benefit of approximately $0.8 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $1.4 million related to 18 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded approximately $0.5 million of additional lease termination liabilities related to three stores closed in the first quarter of fiscal 2012.  In addition, we recorded approximately $0.1 million of non-cash asset impairment charges related to five stores we plan to continue to operate.

 

In the second quarter of fiscal 2012, we recognized a net benefit of approximately $4.7 million related to restructuring and impairment costs.  We recorded a non-cash benefit of approximately $4.9 million related to 35 stores where the amounts recorded for net lease termination liabilities exceeded the actual settlements negotiated with landlords.  We recorded a nominal amount of additional lease termination liabilities related to stores closed in the second quarter of fiscal 2012.  In addition, we recognized approximately $0.2 million of professional services in the second quarter related to the restructuring initiative.

 

In the third quarter of fiscal 2012, we recorded a charge of approximately $0.3 million related to restructuring costs which consisted of approximately $30,000 related to one store where the amount recorded for net lease termination liabilities was less than the actual settlement negotiated with the landlord and approximately $0.3 million related to professional services for lease terminations and renegotiations.  In the third quarter of fiscal 2012, we also reclassified approximately $0.3 million of the remaining long-term portion of the lease termination liability to current accrued liabilities which relates to one store.  We anticipate the lease termination negotiations related to this store will be finalized by the end of fiscal 2012.

 

The following table details restructuring activity for the transition period and the first nine months of fiscal 2012 (in thousands).

 

 

 

 

 

Lease

 

 

 

 

 

 

 

 

 

Severance

 

Termination

 

Asset

 

 

 

 

 

 

 

Accrual

 

Obligations

 

Impairment

 

Other

 

Total

 

Balance, February 26, 2011

 

$

 

$

 

$

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

11,445

 

 

11,445

 

Restructuring charges

 

1,168

 

8,225

 

 

345

 

9,738

 

Total charges

 

1,168

 

8,225

 

11,445

 

345

 

21,183

 

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(11,445

)

(106

)

(11,551

)

Deferred lease obligations on closed stores

 

 

3,587

 

 

 

3,587

 

Cash payments

 

(310

)

 

 

(239

)

(549

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, January 28, 2012

 

858

 

11,812

 

 

 

12,670

 

 

 

 

 

 

 

 

 

 

 

 

 

Asset impairment charge

 

 

 

139

 

 

139

 

Non-cash adjustments

 

 

(6,263

)

 

 

(6,263

)

Restructuring charges

 

 

314

 

 

342

 

656

 

Total charges (credits)

 

 

(5,949

)

139

 

342

 

(5,468

)

 

 

 

 

 

 

 

 

 

 

 

 

Non-cash charges

 

 

 

(139

)

 

(139

)

Deferred lease obligations on closed stores

 

 

244

 

 

 

244

 

Cash payments

 

(858

)

(5,782

)

 

(342

)

(6,982

)

 

 

 

 

 

 

 

 

 

 

 

 

Balance, October 27, 2012

 

$

 

$

325

 

$

 

$

 

$

325

 

XML 62 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET (Tables)
9 Months Ended
Oct. 27, 2012
PROPERTY, EQUIPMENT AND IMPROVEMENTS, NET  
Schedule of property, equipment and improvements, net

 

 

 

 

Estimated

 

October 27,

 

January 28,

 

Description

 

Useful Life

 

2012

 

2012

 

Land

 

 

$

1,597

 

$

1,597

 

Corporate office, distribution center and related building improvements

 

25 years

 

12,322

 

12,319

 

Store leasehold improvements

 

Term of related lease, typically 10 years

 

59,445

 

62,961

 

Store furniture and fixtures

 

3-10 years

 

75,731

 

79,793

 

Corporate office and distribution center furniture, fixtures and equipment

 

7 years

 

5,547

 

5,562

 

Computer and point-of-sale hardware and software

 

3-5 years

 

34,733

 

34,039

 

Construction in progress

 

 

 

705

 

518

 

 

 

 

 

190,080

 

196,789

 

Less accumulated depreciation and amortization

 

 

 

(145,116

)

(140,346

)

Net property, equipment and improvements

 

 

 

$

44,964

 

$

56,443

 

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Element us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate had a mix of decimals attribute values: 3 4. 'Monetary' elements on report '4030 - Disclosure - RESTRUCTURING AND IMPAIRMENT (Details)' had a mix of different decimal attribute values. 'Monetary' elements on report '4031 - Disclosure - RESTRUCTURING AND IMPAIRMENT (Details 2)' had a mix of different decimal attribute values. 'Monetary' elements on report '4040 - Disclosure - INVESTMENTS (Details)' had a mix of different decimal attribute values. 'Monetary' elements on report '4091 - Disclosure - STOCKHOLDERS' EQUITY AND STOCK-BASED COMPENSATION (Details 2)' had a mix of different decimal attribute values. 'Shares' elements on report '4110 - Disclosure - EARNINGS PER SHARE (Details)' had a mix of different decimal attribute values. 'Monetary' elements on report '4140 - Disclosure - SEGMENT REPORTING (Details)' had a mix of different decimal attribute values. Process Flow-Through: 0010 - Statement - CONDENSED CONSOLIDATED BALANCE SHEETS Process Flow-Through: Removing column 'Nov. 26, 2011' Process Flow-Through: Removing column 'Feb. 26, 2011' Process Flow-Through: 0015 - Statement - CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) Process Flow-Through: 0020 - Statement - CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS Process Flow-Through: Removing column '3 Months Ended Oct. 29, 2011' Process Flow-Through: Removing column '9 Months Ended Oct. 29, 2011' Process Flow-Through: Removing column '11 Months Ended Jan. 28, 2012' Process Flow-Through: 0030 - Statement - CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) Process Flow-Through: Removing column '3 Months Ended Oct. 29, 2011' Process Flow-Through: Removing column '9 Months Ended Oct. 29, 2011' Process Flow-Through: 0035 - Statement - CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (Parenthetical) Process Flow-Through: 0040 - Statement - CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS Process Flow-Through: Removing column '9 Months Ended Oct. 29, 2011' cbk-20121027.xml cbk-20121027.xsd cbk-20121027_cal.xml cbk-20121027_def.xml cbk-20121027_lab.xml cbk-20121027_pre.xml true true XML 64 R38.htm IDEA: XBRL DOCUMENT v2.4.0.6
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY (Details) (USD $)
In Thousands, unless otherwise specified
1 Months Ended 9 Months Ended 9 Months Ended
Aug. 25, 2012
Oct. 27, 2012
Jan. 28, 2012
Oct. 27, 2012
Merchandise purchases
Vendor concentration risk
Vendor one
Nov. 26, 2011
Merchandise purchases
Vendor concentration risk
Vendor one
Oct. 27, 2012
Merchandise purchases
Vendor concentration risk
Vendor two
Oct. 27, 2012
Merchandise purchases
Vendor concentration risk
No other vendor
Maximum
Nov. 26, 2011
Merchandise purchases
Vendor concentration risk
No other vendor
Maximum
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY                
Merchandise - in store/e-Commerce   $ 52,791 $ 32,599          
Merchandise - in transit   5,395 6,856          
Merchandise inventories   $ 58,186 $ 39,455          
Payment terms on merchandise purchases   30 days            
Revised payment terms on certain merchandise purchases   45 days            
Percentage of merchandise purchases impacted by change in payment terms 60.00%              
MERCHANDISE INVENTORIES AND SOURCES OF SUPPLY                
Percentage of material supplied       18.00% 18.00% 11.00% 10.00% 10.00%
XML 65 R20.htm IDEA: XBRL DOCUMENT v2.4.0.6
LEGAL PROCEEDINGS
9 Months Ended
Oct. 27, 2012
LEGAL PROCEEDINGS  
LEGAL PROCEEDINGS

NOTE 13 — LEGAL PROCEEDINGS

 

We are subject, from time to time, to various claims, lawsuits or actions that arise in the ordinary course of business.  Although the amount of any liability that could arise with respect to any current proceedings cannot, in our opinion, be accurately predicted, the range of reasonably possible losses on these matters, individually and in the aggregate, is not expected to have a material adverse impact on our financial position, results of operations or liquidity.