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CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS’ EQUITY (DEFICIT) (Unaudited) - USD ($)
shares in Thousands, $ in Thousands
Total
Common Stock
Additional Paid-In Capital
Deferred Compensation
Accumulated Deficit
Accumulated Other Comprehensive Loss
Treasury Stock
Beginning balance (in shares) at Feb. 03, 2024   12,585          
Beginning balance at Feb. 03, 2024 $ (9,019) $ 1,259 $ 141,083 $ 2,909 $ (134,865) $ (16,496) $ (2,909)
Beginning balance, treasury stock (in shares) at Feb. 03, 2024             (56)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Vesting of stock awards (in shares)   204          
Vesting of stock awards 0 $ 20 (20)        
Stock-based compensation expense 12,610   12,610        
Purchase and retirement of common stock (in shares)   (50)          
Purchase and retirement of common stock (320) $ (5) (315)        
Other comprehensive income (loss) (326)         (326)  
Distribution of common stock into deferred compensation plan 0     48     $ (48)
Distribution of common stock from deferred compensation (in shares)             (4)
Net loss $ (37,795)       (37,795)    
Ending balance (in shares) at May. 04, 2024 12,679 12,739          
Ending balance at May. 04, 2024 $ (34,850) $ 1,274 153,358 2,957 (172,660) (16,822) $ (2,957)
Ending balance, treasury stock (in shares) at May. 04, 2024 (60)           (60)
Beginning balance (in shares) at Feb. 01, 2025 12,782 12,785          
Beginning balance at Feb. 01, 2025 $ (59,411) $ 1,279 151,485 90 (192,684) (19,491) $ (90)
Beginning balance, treasury stock (in shares) at Feb. 01, 2025 (3)           (3)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Vesting of stock awards (in shares)   64          
Vesting of stock awards $ 0 $ 6 (6)        
Stock-based compensation expense 1,746   1,746        
Purchase and retirement of common stock (in shares)   (15)          
Purchase and retirement of common stock (84) $ (1) (83)        
Rights offering stock issuance (in shares)   9,231          
Rights offering stock issuance 90,000 $ 923 89,077        
Stock issuance costs (395)   (395)        
Other comprehensive income (loss) 3,582         3,582  
Net loss $ (34,023)       (34,023)    
Ending balance (in shares) at May. 03, 2025 22,062 22,065          
Ending balance at May. 03, 2025 $ 1,415 $ 2,207 $ 241,824 $ 90 $ (226,707) $ (15,909) $ (90)
Ending balance, treasury stock (in shares) at May. 03, 2025 (3)           (3)