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EXCEL - IDEA: XBRL DOCUMENT - Fresh Market, Inc.Financial_Report.xls
10-Q - QUARTERLY REPORT FORM 10-Q - Fresh Market, Inc.tfm10q10282012.htm
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EX-32.1 - EXHIBIT 32.1 - Fresh Market, Inc.ex321q32012.htm
EX-31.2 - EXHIBIT 31.2 - Fresh Market, Inc.ex312q32012.htm
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EX-31.1 - EXHIBIT 31.1 - Fresh Market, Inc.ex3113q2012.htm
v2.4.0.6
Long-Term Debt (Details Textuals) (USD $)
In Thousands, unless otherwise specified
9 Months Ended 12 Months Ended 9 Months Ended 1 Months Ended
Oct. 28, 2012
Jan. 29, 2012
Oct. 28, 2012
Standby Letters of Credit [Member]
Jan. 29, 2012
Standby Letters of Credit [Member]
Oct. 28, 2012
Minimum [Member]
Oct. 28, 2012
Maximum [Member]
Nov. 30, 2012
Amended Commitment Fee [Member]
Minimum [Member]
Nov. 30, 2012
Amended Commitment Fee [Member]
Maximum [Member]
Credit facility, maximum borrowing capacity $ 175,000   $ 25,000          
Description of variable rate basis one-month LIBOR plus a margin, weighted-average annual interest rate of 2.9% one-month LIBOR plus a margin, weighted-average annual interest rate of 3.1%            
Weighted average interest rate 2.90% 3.10%            
Remaining borrowing capacity 75,000              
Letter of credit, amount outstanding $ 10,000   $ 11,481 $ 11,481        
Credit facility, interest rate description (i) the London Interbank Offered Rate plus an applicable margin that ranges from 1.00% to 2.25%, (ii) the Eurodollar rate plus an applicable margin that ranges from 1.00% to 2.25%, or (iii) the base rate plus an applicable margin that ranges from 0% to 1.25%, where the base rate is defined as the greatest of: (a) the federal funds rate plus 0.50%, (b) Bank of America’s prime rate, and (c) the Eurodollar rate plus 1.00%              
Credit facility, commitment fee percentage         0.30% 0.45% 0.20% 0.35%