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Derivative Financial Instruments (Details 2) - USD ($)
$ in Thousands
3 Months Ended
Apr. 30, 2016
Jan. 30, 2016
May. 02, 2015
Jan. 31, 2015
Forward contracts designated as hedging instruments        
Net unrealized loss in accumulated other comprehensive income (loss) related to cash flow hedges $ (3,773) $ 7,252 $ 4,296 $ 7,157
Foreign exchange currency cash flow hedge unrealized loss to be recognized in cost of product sales or other expense over the following 12 months (900)      
Interest rate swap cash flow hedge unrealized loss to be recognized in interest expense over the following 12 months $ (100)      
Cash flow hedges | Canada | Derivatives designated as hedging instruments        
Forward contracts designated as hedging instruments        
U.S. dollar forward contracts outstanding, maximum remaining maturity period (in months) 18 months      
Cash flow hedges | Europe | Derivatives designated as hedging instruments        
Forward contracts designated as hedging instruments        
U.S. dollar forward contracts outstanding, maximum remaining maturity period (in months) 18 months      
Foreign exchange currency contracts        
Forward contracts designated as hedging instruments        
Net unrealized loss in accumulated other comprehensive income (loss) related to cash flow hedges $ (3,700)      
Foreign exchange currency contracts | Cash flow hedges | Canada | Derivatives designated as hedging instruments        
Forward contracts designated as hedging instruments        
U.S. dollar forward contracts purchased, total notional amount 21,300      
Notional amount of derivative outstanding 59,000 48,200    
Foreign exchange currency contracts | Cash flow hedges | Europe | Derivatives designated as hedging instruments        
Forward contracts designated as hedging instruments        
U.S. dollar forward contracts purchased, total notional amount 18,900      
Notional amount of derivative outstanding 104,800 $ 106,300    
Interest rate swap        
Forward contracts designated as hedging instruments        
Net unrealized loss in accumulated other comprehensive income (loss) related to cash flow hedges (100)      
Interest rate swap | Cash flow hedges | Derivatives designated as hedging instruments        
Forward contracts designated as hedging instruments        
Notional amount of derivative outstanding $ 21,500      
Fixed rate of interest rate swap designated as a cash flow hedge (as a percent) 3.06%      
Derivate maturity date Jan. 31, 2026