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Borrowings and Capital Lease Obligations (Details)
9 Months Ended
May 01, 2016
Feb. 16, 2016
USD ($)
Feb. 01, 2016
Jun. 23, 2015
USD ($)
Oct. 29, 2016
USD ($)
facility
Jan. 30, 2016
USD ($)
Borrowings and capital lease obligations            
Mortgage debt, maturing monthly through January 2026         $ 21,025,000 $ 0
European capital lease, matured quarterly through May 2016         0 4,024,000
Other debt         3,075,000 2,318,000
Borrowings and capital lease obligations, total         24,100,000 6,342,000
Less current installments         560,000 4,024,000
Long-term debt         23,540,000 2,318,000
Mortgage Debt            
Mortgage debt, maturing monthly through January 2026         $ 21,025,000 $ 0
Interest rate swap | Derivatives designated as hedging instruments | Cash flow hedges            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap         3.06%  
Interest rate swap maturity date         Jan. 31, 2026  
Europe | Foreign line of credit            
Credit Facilities            
Current borrowing capacity         $ 67,300,000  
Credit Facility, outstanding amount         $ 0  
Interest rate, low end of the range (as a percent)         0.50%  
Interest rate, high end of the range (as a percent)         5.00%  
Number of credit facilities subject to minimum net equity requirement | facility         1  
Maximum borrowing capacity of the credit facility which is subject to a minimum net equity requirement         $ 38,500,000  
Europe | Documentary letters of credit | Foreign line of credit            
Credit Facilities            
Letters of credit outstanding         0  
Mortgage debt | U.S. distribution center            
Borrowings and capital lease obligations            
Mortgage debt, maturing monthly through January 2026   $ 21,500,000.0     $ 21,025,000  
Debt maturity period (in years)   10 years        
Mortgage Debt            
Debt maturity date         Jan. 31, 2026  
Mortgage debt, maturing monthly through January 2026   $ 21,500,000.0     $ 21,025,000  
Security description for mortgage debt         secured by the Company’s U.S. distribution center based in Louisville, Kentucky  
Debt amortization period (in years)   25 years        
Debt issuance costs         $ 100,000  
Mortgage debt | LIBOR | U.S. distribution center            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.50%  
Mortgage debt | Interest rate swap | U.S. distribution center            
Mortgage Debt            
Fair value of cash flow hedge interest rate swap liability         $ 150,000  
Mortgage debt | Interest rate swap | Derivatives designated as hedging instruments | Cash flow hedges | U.S. distribution center            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap   3.06%     3.06%  
Interest rate swap maturity date         Jan. 31, 2026  
Credit Facility            
Credit Facilities            
Credit Facility, outstanding amount         $ 0  
Credit Facility | Revolving Credit Facility            
Borrowings and capital lease obligations            
Debt maturity period (in years)       5 years    
Credit Facilities            
Maximum borrowing capacity       $ 150,000,000 150,000,000  
Current borrowing capacity         $ 146,000,000  
Priority level for Credit Facility         secured by a first priority lien on substantially all of the assets of the Company and such domestic and Canadian subsidiaries  
Credit Facility | Accordion feature            
Credit Facilities            
Maximum borrowing capacity       150,000,000 $ 150,000,000  
Credit Facility | U.S. line of credit | Base rate | Minimum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.25%  
Credit Facility | U.S. line of credit | Base rate | Maximum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.75%  
Credit Facility | U.S. line of credit | LIBOR            
Credit Facilities            
Interest rate margin added to respective base rate         1.00%  
Credit Facility | U.S. line of credit | LIBOR | Minimum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.25%  
Credit Facility | U.S. line of credit | LIBOR | Maximum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.75%  
Credit Facility | U.S. line of credit | Federal funds rate            
Credit Facilities            
Interest rate margin added to respective base rate         0.50%  
Credit Facility | Standby letters of credit            
Credit Facilities            
Letters of credit outstanding         $ 700,000  
Credit Facility | Documentary letters of credit            
Credit Facilities            
Letters of credit outstanding         3,000,000  
Credit Facility | Canada | Foreign line of credit            
Credit Facilities            
Maximum borrowing capacity       $ 50,000,000 $ 50,000,000  
Credit Facility | Canada | Foreign line of credit | Prime rate | Minimum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.25%  
Credit Facility | Canada | Foreign line of credit | Prime rate | Maximum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.75%  
Credit Facility | Canada | Foreign line of credit | Canadian BA rate            
Credit Facilities            
Interest rate margin added to respective base rate         1.00%  
Credit Facility | Canada | Foreign line of credit | Canadian BA rate | Minimum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.25%  
Credit Facility | Canada | Foreign line of credit | Canadian BA rate | Maximum            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.75%  
Credit Facility | Canada | Foreign line of credit | Bank of Canada overnight rate            
Credit Facilities            
Interest rate margin added to respective base rate         0.50%  
European capital lease, matured quarterly through May 2016 | Italy            
Capital Lease            
Lease expiration date May 01, 2016          
European capital lease, matured quarterly through May 2016 | Italy | Interest rate swap | Derivatives not designated as hedging instruments            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap     3.55%      
Interest rate swap maturity date     Feb. 01, 2016