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SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Feb. 02, 2013
Jan. 28, 2012
Jan. 29, 2011
Reconciliation of valuation and qualifying accounts      
Balance at beginning of period $ 38,131 $ 33,270 $ 33,160
Costs charged / credited to expenses 122,221 120,236 109,862
Deductions and write-offs (118,713) (115,375) (109,752)
Balance at end of period 41,639 38,131 33,270
Allowance for accounts receivable
     
Reconciliation of valuation and qualifying accounts      
Balance at beginning of period 19,423 15,993 16,208
Costs charged / credited to expenses 39,322 35,934 31,485
Deductions and write-offs (38,157) (32,504) (31,700)
Balance at end of period 20,588 19,423 15,993
Allowance for royalties receivable
     
Reconciliation of valuation and qualifying accounts      
Balance at beginning of period 402 763 653
Costs charged / credited to expenses (108) (361) 110
Deductions and write-offs 0 0 0
Balance at end of period 294 402 763
Allowance for sales returns
     
Reconciliation of valuation and qualifying accounts      
Balance at beginning of period 18,306 16,514 16,299
Costs charged / credited to expenses 83,007 84,663 78,267
Deductions and write-offs (80,556) (82,871) (78,052)
Balance at end of period $ 20,757 $ 18,306 $ 16,514