ARTICLE 5
THIS SCHEDULE CONTAINS SUMMARY FINANCIAL INFORMATION EXTRACTED FROM THE
CONDENSED CONSOLIDATED FINANCIAL STATEMENTS OF FINANCIAL CONDITION AT MAY 26,
2001(UNAUDITED) AND THE RESULTS OF OPERATIONS FOR THE SIX MONTHS ENDED MAY 26,
2001 (UNAUDITED AND IS QUALIFIED IN ITS ENTIRIETY BY REFERENCE TO SUCH FINANCIAL
STATEMENTS.

EX-27
ART. 5 FDS 1 ST QUARTER 10-Q
ARTICLE                                    5                       5
MULTIPLIER                             1,000                   1,000
PERIOD-TYPE                         3 MONTHS                    YEAR
FISCAL-YEAR-END                     FEBRUARY 26, 2002       FEBRUARY 24, 2001
PERIOD-START                        FEBRUARY 25, 2001       FEBRUARY 27, 2000
PERIOD-END                          May 26, 2001            FEBRUARY 24, 2001
EXCHANGE RATE                              0                       0
CASH                                  13,105                  18,338
SECURITIES                                 0                       0
RECEIVABLES                            1,983                   2,948
ALLOWANCES                              (440)                   (440)
INVENTORY                             39,515                  44,102
CURRENT-ASSETS                        56,091                  67,044
PP&E                                  29,807                  29,807
DEPRECIATION                         (18,441)                (16,808)
TOTAL ASSETS                          68,239                  80,947
CURRENT-LIABILITIES                   94,839                 101,176
BONDS                                      0                       0
PREFERRED-MANDATORY                        0                       0
PREFERRED                                  0                       0
COMMON                                   111                     111
OTHER-SE                             (26,600)                 41,631
TOTAL-LIABILITY-AND-EQUITY            68,239                  80,947
SALES                                 27,083                 154,709
TOTAL-REVENUES                        27,083                 154,709
COGS                                  19,000                 110,998
TOTAL-COSTS                           19,000                 110,998
OTHER-EXPENSES                         7,750                  60,802
LOSS-PROVISION                             0                       0
INTEREST-EXPENSE                         999                   5,171
INCOME-PRETAX                         (6,316)                (22,262)
INCOME-TAX                                 0                       0
INCOME-CONTINUING                     (6,316)                (22,262)
DISCONTINUED                             (55)                (30,829)
EXTRAORDINARY                              0                       0
CHANGES                                    0                       0
NET-INCOME                            (6,371)                (53,091)
EPS-PRIMARY                            (6.06)                  (4.98)
EPS-DILUTED                            (6.06)                  (4.98)