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FAIR VALUE MEASUREMENTS - Financial Assets and Liabilities Carried at Fair Value on Recurring Basis (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Jul. 31, 2022
Jul. 25, 2021
Jul. 31, 2022
Jul. 25, 2021
Oct. 31, 2021
Right To Reclaim Net Cash Collateral, Commodity Derivatives [Abstract]          
Obligation to return net cash collateral $ 4,800   $ 4,800   $ 10,800
Obligation to return net cash collateral, cash portion 24,900   24,900   45,600
Realized gains on closed positions 20,100   20,100   34,800
Rabbi trust          
Right To Reclaim Net Cash Collateral, Commodity Derivatives [Abstract]          
(Losses) gains related to securities held by the trust (100) $ 1,500 (12,100) $ 18,600  
Recurring basis          
Assets at Fair Value          
Cash and Cash Equivalents 850,344   850,344   613,530
Short-term Marketable Securities 18,314   18,314   21,162
Other Trading Securities 190,962   190,962   203,020
Commodity Derivatives 14,719   14,719   13,522
Total Assets at Fair Value 1,074,339   1,074,339   851,234
Liabilities at Fair Value          
Deferred Compensation 60,977   60,977   70,466
Interest Rate Derivatives 17,473   17,473    
Total Liabilities at Fair Value 78,450   78,450   70,466
Recurring basis | Quoted Prices in Active Markets for Identical Assets (Level 1)          
Assets at Fair Value          
Cash and Cash Equivalents 850,015   850,015   611,111
Short-term Marketable Securities 9,395   9,395   8,790
Other Trading Securities 0   0   0
Commodity Derivatives 12,678   12,678   8,104
Total Assets at Fair Value 872,088   872,088   628,005
Liabilities at Fair Value          
Deferred Compensation 0   0   0
Interest Rate Derivatives 0   0    
Total Liabilities at Fair Value 0   0   0
Recurring basis | Significant Other Observable Inputs (Level 2)          
Assets at Fair Value          
Cash and Cash Equivalents 328   328   2,419
Short-term Marketable Securities 8,919   8,919   12,372
Other Trading Securities 190,962   190,962   203,020
Commodity Derivatives 2,042   2,042   5,418
Total Assets at Fair Value 202,251   202,251   223,229
Liabilities at Fair Value          
Deferred Compensation 60,977   60,977   70,466
Interest Rate Derivatives 17,473   17,473    
Total Liabilities at Fair Value 78,450   78,450   70,466
Recurring basis | Significant Unobservable Inputs (Level 3)          
Assets at Fair Value          
Cash and Cash Equivalents 0   0   0
Short-term Marketable Securities 0   0   0
Other Trading Securities 0   0   0
Commodity Derivatives 0   0   0
Total Assets at Fair Value 0   0   0
Liabilities at Fair Value          
Deferred Compensation 0   0   0
Interest Rate Derivatives 0   0    
Total Liabilities at Fair Value $ 0   $ 0   $ 0