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Fair Value Measurements (Tables)
6 Months Ended
Jan. 31, 2022
Fair Value Disclosures [Abstract]  
Schedule of derivative on the balance sheet
The fair value of the Company’s derivative contracts, recorded on the Condensed Consolidated Balance Sheets, was as follows (in millions):
Total Notional AmountsAssetsLiabilities
January 31,July 31,January 31,July 31,January 31,July 31,
202220212022202120222021
Designated as hedging instruments
Forward foreign currency exchange contracts$70.7 $117.2 $1.5 $1.0 $1.4 $1.2 
Net investment hedge55.8 55.8 1.1 1.1 0.1 2.0 
Total designated126.5 173.0 2.6 2.1 1.5 3.2 
Not designated as hedging instruments
Forward foreign currency exchange contracts215.9 154.2 1.3 0.5 1.7 0.4 
Total not designated215.9 154.2 1.3 0.5 1.7 0.4 
Total $342.4 $327.2 $3.9 $2.6 $3.2 $3.6