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SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS (Details) - USD ($)
$ in Thousands
12 Months Ended
Jan. 30, 2016
Jan. 31, 2015
Feb. 01, 2014
Reconciliation of valuation and qualifying accounts      
Balance at Beginning of Period $ 34,033 $ 40,811 $ 41,639
Costs Charged (Credited) to Expenses 96,472 94,003 130,641
Deductions and Write-offs (94,511) (100,781) (131,469)
Balance at End of Period 35,994 34,033 40,811
Allowance for accounts receivable      
Reconciliation of valuation and qualifying accounts      
Balance at Beginning of Period 16,053 20,118 20,588
Costs Charged (Credited) to Expenses 27,755 28,826 32,339
Deductions and Write-offs (28,738) (32,891) (32,809)
Balance at End of Period 15,070 16,053 20,118
Allowance for royalties receivable      
Reconciliation of valuation and qualifying accounts      
Balance at Beginning of Period 253 409 294
Costs Charged (Credited) to Expenses 240 (156) 190
Deductions and Write-offs (82) 0 (75)
Balance at End of Period 411 253 409
Allowance for sales returns      
Reconciliation of valuation and qualifying accounts      
Balance at Beginning of Period 17,727 20,284 20,757
Costs Charged (Credited) to Expenses 68,477 65,333 98,112
Deductions and Write-offs (65,691) (67,890) (98,585)
Balance at End of Period $ 20,513 $ 17,727 $ 20,284