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Borrowings and Capital Lease Obligations (Details)
12 Months Ended
May 01, 2016
Feb. 16, 2016
USD ($)
Feb. 01, 2016
Jun. 23, 2015
USD ($)
Jan. 28, 2017
USD ($)
facility
Jan. 30, 2016
USD ($)
Borrowings and capital lease obligations            
Mortgage debt, maturing monthly through January 2026         $ 20,889,000 $ 0
European capital lease, matured quarterly through May 2016         0 4,024,000
Other         3,159,000 2,318,000
Borrowings and capital lease obligations, total         24,048,000 6,342,000
Less current installments         566,000 4,024,000
Long-term debt         23,482,000 $ 2,318,000
Debt issuance costs         100,000  
Foreign line of credit | Europe            
Borrowings and capital lease obligations            
Current borrowing capacity         72,300,000  
Credit Facility, outstanding amount         $ 0  
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         $ 37,400,000  
Foreign line of credit | Minimum | Europe            
Borrowings and capital lease obligations            
Interest rate (as a percent)         0.50%  
Foreign line of credit | Maximum | Europe            
Borrowings and capital lease obligations            
Interest rate (as a percent)         5.00%  
Documentary letters of credit | Foreign line of credit | Europe            
Borrowings and capital lease obligations            
Letters of credit outstanding         $ 0  
Cash flow hedges | Interest rate swap | Derivatives designated as hedging instruments            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap derivative (as a percent)   3.06%        
Interest rate swap maturity date         Jan. 31, 2026  
European capital lease, maturing quarterly through May 2016 | Italy            
Borrowings and capital lease obligations            
Lease expiration date May 01, 2016          
European capital lease, maturing quarterly through May 2016 | Interest rate swap | Derivatives not designated as hedging instruments | Italy            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap derivative (as a percent)     3.55%      
Interest rate swap maturity date     Feb. 01, 2016      
Credit Facility            
Borrowings and capital lease obligations            
Percentage of borrowings exceeding borrowing base that require the Company to comply with a fixed charge coverage ratio on a trailing four-quarter basis         80.00%  
Credit Facility, outstanding amount         $ 0  
Credit Facility | Revolving Credit Facility            
Borrowings and capital lease obligations            
Debt maturity period (in years)       5 years    
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 | Foreign line of credit | Canada            
Borrowings and capital lease obligations            
Maximum borrowing capacity       50,000,000 $ 50,000,000  
Credit Facility | Foreign line of credit | Prime rate | Minimum | Canada            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.25%  
Credit Facility | Foreign line of credit | Prime rate | Maximum | Canada            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         0.75%  
Credit Facility | Foreign line of credit | Canadian BA rate | Canada            
Borrowings and capital lease obligations            
Interest rate margin added to respective base rate         1.00%  
Credit Facility | Foreign line of credit | Canadian BA rate | Minimum | Canada            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.25%  
Credit Facility | Foreign line of credit | Canadian BA rate | Maximum | Canada            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.75%  
Credit Facility | Foreign line of credit | Bank of Canada overnight rate | Canada            
Borrowings and capital lease obligations            
Interest rate margin added to respective base rate         0.50%  
Credit Facility | Accordion feature            
Borrowings and capital lease obligations            
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            
Borrowings and capital lease obligations            
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            
Borrowings and capital lease obligations            
Interest rate margin added to respective base rate         0.50%  
Credit Facility | Standby letters of credit            
Borrowings and capital lease obligations            
Letters of credit outstanding         $ 1,000,000  
Credit Facility | Documentary letters of credit            
Borrowings and capital lease obligations            
Letters of credit outstanding         1,700,000  
U.S. distribution center | Mortgage debt            
Borrowings and capital lease obligations            
Mortgage debt, maturing monthly through January 2026   $ 21,500,000.0     $ 20,889,000  
Debt maturity period (in years)   10 years        
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  
Debt maturity date         Jan. 31, 2026  
U.S. distribution center | Mortgage debt | LIBOR            
Borrowings and capital lease obligations            
Interest rate margin (as a percent)         1.50%  
U.S. distribution center | Mortgage debt | Interest rate swap            
Borrowings and capital lease obligations            
Fair value of cash flow hedge interest rate swap asset         $ 876,000  
U.S. distribution center | Mortgage debt | Cash flow hedges | Interest rate swap | Derivatives designated as hedging instruments            
Borrowings and capital lease obligations            
Fixed rate of interest rate swap derivative (as a percent)   3.06%     3.06%  
Interest rate swap maturity date         Jan. 31, 2026