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Fair Value Measurements (Details) (Assets and liabilities measured at fair value on a recurring basis, USD $)
In Thousands
Jul. 30, 2011
Jan. 29, 2011
Level 1
   
Assets:    
Held-to-maturity securities   $ 15,087
Available-for-sale securities 16,405 6,139
Total Assets 16,405 21,226
Level 2
   
Assets:    
Foreign exchange currency contracts, Assets 636 3,227
Total Assets 636 3,227
Liabilities:    
Foreign exchange currency contracts, Liabilities 14,868 7,766
Interest rate swaps 894 868
Deferred compensation obligations 7,199 6,456
Total Liabilities 22,961 15,090
Fair Value
   
Assets:    
Foreign exchange currency contracts, Assets 636 3,227
Held-to-maturity securities   15,087
Available-for-sale securities 16,405 6,139
Total Assets 17,041 24,453
Liabilities:    
Foreign exchange currency contracts, Liabilities 14,868 7,766
Interest rate swaps 894 868
Deferred compensation obligations 7,199 6,456
Total Liabilities $ 22,961 $ 15,090