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CONSOLIDATED STATEMENT OF STOCKHOLDERS' EQUITY - USD ($)
$ in Thousands
Common Stock [Member]
Retained Earnings [Member]
AOCI Attributable to Parent [Member]
Total
Balance at Jan. 31, 2021 $ 53,323 $ 204,988 $ (808) $ 257,503
Balance (in Shares) at Jan. 31, 2021 11,888,000      
Net income (loss)   16,910   16,910
Unrealized gain loss on defined benefit plan, net of tax     153 153
Cash dividends paid and accrued   (4,285)   (4,285)
Restricted stock grants, net of forfeitures (in Shares) 36,000      
Restricted stock compensation cost $ 597     597
Performance-based restricted stock units costs 293     293
PSU awards (740)     (740)
Balance at Aug. 01, 2021 $ 53,473 217,613 (655) 270,431
Balance (in Shares) at Aug. 01, 2021 11,924,000      
Balance at May. 02, 2021 $ 53,004 212,291 (732) 264,563
Balance (in Shares) at May. 02, 2021 11,909,000      
Net income (loss)   7,467   7,467
Unrealized gain loss on defined benefit plan, net of tax     77 77
Cash dividends paid and accrued   (2,145)   (2,145)
Restricted stock grants, net of forfeitures (in Shares) 15,000      
Restricted stock compensation cost $ 323     323
Performance-based restricted stock units costs 146     146
Balance at Aug. 01, 2021 $ 53,473 217,613 (655) 270,431
Balance (in Shares) at Aug. 01, 2021 11,924,000      
Balance at Jan. 30, 2022 $ 53,295 207,884 (51) $ 261,128
Balance (in Shares) at Jan. 30, 2022 11,922,000     11,922,000
Net income (loss)   8,726   $ 8,726
Unrealized gain loss on defined benefit plan, net of tax     32 32
Cash dividends paid and accrued   (4,794)   (4,794)
Purchase and retirement of common stock $ (315) (822)   (1,137)
Purchase and retirement of common stock (in Shares) (68,000)      
Restricted stock grants, net of forfeitures $ (102)     (102)
Restricted stock grants, net of forfeitures (in Shares) 105,000      
Restricted stock compensation cost $ 667     667
Performance-based restricted stock units costs 308     308
Balance at Jul. 31, 2022 $ 53,853 210,994 (19) $ 264,828
Balance (in Shares) at Jul. 31, 2022 11,959,000     11,959,000
Balance at May. 01, 2022 $ 53,649 208,678 (65) $ 262,262
Balance (in Shares) at May. 01, 2022 12,002,000      
Net income (loss)   5,543   5,543
Unrealized gain loss on defined benefit plan, net of tax     46 46
Cash dividends paid and accrued   (2,405)   (2,405)
Purchase and retirement of common stock $ (315) (822)   (1,137)
Purchase and retirement of common stock (in Shares) (68,000)      
Restricted stock grants, net of forfeitures $ (6)     (6)
Restricted stock grants, net of forfeitures (in Shares) 25,000      
Restricted stock compensation cost $ 371     371
Performance-based restricted stock units costs 154     154
Balance at Jul. 31, 2022 $ 53,853 $ 210,994 $ (19) $ 264,828
Balance (in Shares) at Jul. 31, 2022 11,959,000     11,959,000