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Consolidated Statements of Stockholders' Equity - USD ($)
shares in Millions, $ in Millions
Total
Common Stock [Member]
Paid-in Capital [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Treasury Stock [Member]
BALANCE at Jan. 29, 2012 $ 17,898 $ 87 $ 6,966 $ 17,246 $ 293 $ (6,694)
BALANCE, shares at Jan. 29, 2012   1,733       196
Net Earnings 4,535 [1]     4,535    
Shares Issued Under Employee Stock Plans 679 $ 1 678      
Shares Issued Under Employee Stock Plans, shares   21        
Tax Effect of Stock-Based Compensation 82   82      
Foreign Currency Translation Adjustments 100 [1]       100  
Cash Flow Hedges, net of tax 5 [1]       5  
Stock Options, Awards and Amortization of Restricted Stock 218   218      
Repurchases of Common Stock (4,000)         $ (4,000)
Repurchases of Common Stock, shares           (74)
Cash Dividends Paid to Stockholders (1,743)     (1,743)    
Other 3   4   (1)  
BALANCE at Feb. 03, 2013 17,777 $ 88 7,948 20,038 397 $ (10,694)
BALANCE, shares at Feb. 03, 2013   1,754       270
Net Earnings 5,385 [1]     5,385    
Shares Issued Under Employee Stock Plans 103   103      
Shares Issued Under Employee Stock Plans, shares   7        
Tax Effect of Stock-Based Compensation 123   123      
Foreign Currency Translation Adjustments (329) [1]       (329)  
Cash Flow Hedges, net of tax (12) [1]       (12)  
Stock Options, Awards and Amortization of Restricted Stock 228   228      
Repurchases of Common Stock (8,500)         $ (8,500)
Repurchases of Common Stock, shares           (111)
Cash Dividends Paid to Stockholders (2,243)     (2,243)    
Other (10)       (10)  
BALANCE at Feb. 02, 2014 12,522 $ 88 8,402 23,180 46 $ (19,194)
BALANCE, shares at Feb. 02, 2014   1,761       381
Net Earnings 6,345 [1]     6,345    
Shares Issued Under Employee Stock Plans 122   122      
Shares Issued Under Employee Stock Plans, shares   7        
Tax Effect of Stock-Based Compensation 136   136      
Foreign Currency Translation Adjustments (510) [1]       (510)  
Cash Flow Hedges, net of tax 11 [1]       11  
Stock Options, Awards and Amortization of Restricted Stock 225   225      
Repurchases of Common Stock (7,000)         $ (7,000)
Repurchases of Common Stock, shares           (80)
Cash Dividends Paid to Stockholders (2,530)     (2,530)    
Other 1       1  
BALANCE at Feb. 01, 2015 $ 9,322 $ 88 $ 8,885 $ 26,995 $ (452) $ (26,194)
BALANCE, shares at Feb. 01, 2015   1,768       461
[1] Fiscal years ended February 1, 2015 and February 2, 2014 include 52 weeks. Fiscal year ended February 3, 2013 includes 53 weeks.