Annual report pursuant to section 13 and 15(d)

Consolidated Statements of Equity (Parenthetical)

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Consolidated Statements of Equity (Parenthetical) (USD $)
12 Months Ended
Jan. 28, 2012
Jan. 29, 2011
Jan. 30, 2010
Cash dividends per share $ 0.54 $ 0.39 $ 0.30
Issuance of shares under stock discount plan 103,964 120,434 138,360
Issuance of shares under exercise of stock options 369,085 120,664 151,235
Issuance of treasury stock under profit sharing plan   386  
Purchases of treasury stock 2,329,472 7,134 7,292
Total Equity Attributable to Common Shareholders
     
Cash dividends per share $ 0.54 $ 0.39 $ 0.30
Issuance of shares under stock discount plan 103,964 120,434 138,360
Issuance of shares under exercise of stock options 369,085 120,664 151,235
Issuance of treasury stock under profit sharing plan   386  
Purchases of treasury stock 2,329,472 7,134 7,292
Common Stock
     
Issuance of shares under stock discount plan 103,964 120,434 138,360
Issuance of shares under exercise of stock options 369,085 120,664 151,235
Issuance of shares under restricted stock and deferred stock unit awards 368,494 260,704 231,273
Capital in Excess of Par
     
Issuance of shares under stock discount plan 103,964 120,434 138,360
Issuance of shares under exercise of stock options 369,085 120,664 151,235
Issuance of shares under restricted stock and deferred stock unit awards 368,494 260,704 231,273
Retained Earnings
     
Cash dividends per share $ 0.54 $ 0.39 $ 0.30
Treasury Stock, at Cost
     
Issuance of treasury stock under profit sharing plan   386  
Purchases of treasury stock 2,329,472 7,134 7,292