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Summary of Restructuring Related Charges (Parenthetical) (Detail)
3 Months Ended
May 02, 2020
USD ($)
Store
May 04, 2019
USD ($)
Restructuring Cost And Reserve [Line Items]    
Impairment charges $ 155,619,000 $ 1,543,000
Impairment of operating lease ROU assets $ 84,100,000 $ 0
Number of retail stores | Store 1,000  
Impairment charges [1] $ 153,617,000  
Corporate and Store Property and Equipment    
Restructuring Cost And Reserve [Line Items]    
Impairment charges 51,500,000  
Cost and Equity Method Investments    
Restructuring Cost And Reserve [Line Items]    
Impairment charges 18,000,000.0  
Retail Stores    
Restructuring Cost And Reserve [Line Items]    
Impairment of operating lease ROU assets $ 84,100,000  
Number of retail stores | Store 272  
Impairment charges $ 135,600,000  
[1] During the 13 weeks ended May 2, 2020, the Company recorded impairment charges of $155.6 million.  Of the total, $84.1 million related to the impairment of the operating ROU assets of 272 stores.  We recorded $51.5 million related to the impairment of certain corporate and store property and equipment.  We also recorded $18.0 million of impairment of certain cost and equity method investments.