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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Millions
Total
Common Stock
Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Treasury Stock
Balance at beginning of period at Jan. 30, 2022   $ 90 $ 12,132 $ 67,580 $ (704) $ (80,794)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Shares issued under employee stock plans, net   0 (19)      
Stock-based compensation expense     196      
Net earnings $ 9,404     9,404    
Cash dividends       (3,910)    
Foreign currency translation adjustments, net of tax 29       29  
Cash flow hedges, net of tax 3       3  
Repurchases of common stock (3,770)         (3,770)
Balance at end of period at Jul. 31, 2022 237 90 12,309 73,074 (672) (84,564)
Balance at beginning of period at May. 01, 2022   90 12,079 69,849 (683) (83,044)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Shares issued under employee stock plans, net   0 135      
Stock-based compensation expense     95      
Net earnings 5,173     5,173    
Cash dividends       (1,948)    
Foreign currency translation adjustments, net of tax 9       9  
Cash flow hedges, net of tax 2       2  
Repurchases of common stock (1,520)         (1,520)
Balance at end of period at Jul. 31, 2022 237 90 12,309 73,074 (672) (84,564)
Balance at beginning of period at Jan. 29, 2023 1,562 90 12,592 76,896 (718) (87,298)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Shares issued under employee stock plans, net   0 35      
Stock-based compensation expense     215      
Net earnings 8,532     8,532    
Cash dividends       (4,215)    
Foreign currency translation adjustments, net of tax 247       247  
Cash flow hedges, net of tax 4       4  
Repurchases of common stock (5,045)         (5,045)
Balance at end of period at Jul. 30, 2023 1,335 90 12,842 81,213 (467) (92,343)
Balance at beginning of period at Apr. 30, 2023   90 12,584 78,651 (637) (90,326)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Shares issued under employee stock plans, net   0 154      
Stock-based compensation expense     104      
Net earnings 4,659     4,659    
Cash dividends       (2,097)    
Foreign currency translation adjustments, net of tax 168       168  
Cash flow hedges, net of tax 2       2  
Repurchases of common stock (2,017)         (2,017)
Balance at end of period at Jul. 30, 2023 $ 1,335 $ 90 $ 12,842 $ 81,213 $ (467) $ (92,343)