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Acquisition of Field and Stream Stores (Tables)
12 Months Ended
Jan. 30, 2021
Business Acquisition [Line Items]  
Summary of pro forma information

Fiscal Year Ended

January 30,

February 1,

2021

2020

Net sales

1,464,406

909,113

Net income

91,475

19,775

Earnings per share:

Basic

2.10

0.46

Diluted

2.07

0.45

Asset Purchase Agreement 1 With Dicks  
Business Acquisition [Line Items]  
Summary of the purchase price consideration and related cash outflow

March 12, 2020

Cash paid to seller

$

1,075

Payable to seller

1,064

Total purchase price

$

2,139

Summary of the estimated fair value of the identifiable assets acquired and assumed liabilities as of the Closing Date

March 12, 2020

Cash

$

10

Inventory

2,133

Property, plant, and equipment

892

Operating lease right of use asset

2,070

Operating lease right of use liability

(1,794)

Deferred tax liability

(314)

Bargain purchase

(858)

Total

$

2,139

Asset Purchase Agreement 2 With Dicks  
Business Acquisition [Line Items]  
Summary of the purchase price consideration and related cash outflow

May 14, 2020

Cash paid to seller

$

1,317

Payable to seller

1,094

Total purchase price

$

2,411

Summary of the estimated fair value of the identifiable assets acquired and assumed liabilities as of the Closing Date

May 14, 2020

Cash

$

18

Inventory

2,218

Property, plant, and equipment

375

Operating lease right of use asset

5,605

Operating lease right of use liability

(5,605)

Deferred tax liability

(53)

Bargain purchase

(147)

Total

$

2,411

Asset Purchase Agreement 3 With Dicks  
Business Acquisition [Line Items]  
Summary of the purchase price consideration and related cash outflow

October 8, 2020

Cash paid to seller

$

227

Payable to seller

1,774

Total purchase price

$

2,001

Summary of the estimated fair value of the identifiable assets acquired and assumed liabilities as of the Closing Date

October 8, 2020

Cash

$

50

Inventory

3,515

Property, plant, and equipment

1,046

Operating lease right of use asset

9,534

Operating lease right of use liability

(10,508)

Deferred tax liability

(423)

Bargain purchase

(1,213)

Total

$

2,001

2019 Acquisition  
Business Acquisition [Line Items]  
Summary of the purchase price consideration and related cash outflow

October 11, 2019

Cash paid to seller

$

19,241

Payable to seller

9,462

Total purchase price

$

28,703

Summary of the estimated fair value of the identifiable assets acquired and assumed liabilities as of the Closing Date

October 11, 2019

Cash

$

167

Inventory

19,152

Property, plant, and equipment

5,250

Operating lease right of use asset

33,436

Operating lease right of use liability

(31,051)

Deferred tax asset

253

Goodwill

1,496

Total

$

28,703