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Supplemental Financial Information (Tables)
3 Months Ended
May 02, 2020
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Inventories
May 2,
2020
February 1,
2020
Inventories:
Work-in-process$196,501  $216,496  
Finished goods73,873  106,484  
               Inventories$270,374  $322,980  
Schedule of Property and Equipment, Net
May 2,
2020
February 1,
2020
Property and equipment, net:
Machinery and equipment$689,443  $686,351  
Land, buildings, and leasehold improvements287,429  285,084  
Computer software101,865  100,613  
Furniture and fixtures24,725  24,582  
1,103,462  1,096,630  
Less: Accumulated depreciation and amortization(755,396) (739,538) 
               Property and equipment, net$348,066  $357,092  
Schedule of Other Non-current Assets
May 2,
2020
February 1,
2020
Other non-current assets:
Technology and other licenses$283,335  $277,634  
Operating right-of-use assets124,752  110,907  
Prepaid ship and debit *74,599  75,362  
Other43,260  32,947  
               Other non-current assets$525,946  $496,850  

* Prepaid ship and debit of $74.6 million and $75.4 million as of May 2, 2020 and February 1, 2020, respectively, relate to certain prepaid distributor arrangements for ship and debit claims.
Schedule of Current Accrued Liabilities
 May 2,
2020
February 1,
2020
Accrued liabilities:
Contract liabilities $106,411  $111,486  
Technology license obligations85,455  71,623  
Deferred non-recurring engineering credits52,645  51,109  
Lease liabilities - current30,128  28,662  
Accrued royalty13,189  10,927  
Accrued restructuring10,073  14,302  
Accrued income tax payable7,265  6,133  
Other75,487  52,397  
               Accrued liabilities$380,653  $346,639  
Schedule of Other Non-current Liabilities
May 2,
2020
February 1,
2020
Other non-current liabilities
Lease liabilities - non current $127,195  $115,778  
Technology license obligations102,585  107,893  
Non-current income tax payable 33,973  37,983  
Other18,377  12,578  
               Other non-current liabilities $282,130  $274,232  
Changes in Accumulated Other Comprehensive Income (Loss) by Components
The changes in accumulated other comprehensive income (loss) by components for the current period are presented in the following table:
 Unrealized Gain
(Loss) on Cash
Flow Hedges
Balance at February 1, 2020$—  
Other comprehensive income (loss) before reclassifications995  
Amounts reclassified from accumulated other comprehensive income (loss)(127) 
Net current-period other comprehensive income, net of tax868  
Balance at May 2, 2020$868