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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 6 Months Ended
Apr. 30, 2023
May 01, 2022
Apr. 30, 2023
May 01, 2022
Oct. 30, 2022
Assets at Fair Value          
Derivative Asset, Current, Statement of Financial Position [Extensible Enumeration] Prepaid Expenses and Other Current Assets   Prepaid Expenses and Other Current Assets   Prepaid Expenses and Other Current Assets
Right To Reclaim Net Cash Collateral, Commodity Derivatives [Abstract]          
Right to reclaim net cash collateral $ 32,100   $ 32,100    
Right to reclaim cash, cash portion 29,800   29,800    
Realized gains on closed positions 2,300   2,300   $ 26,200
Obligation to return net cash collateral, cash portion         27,500
Obligation to return net cash collateral         1,300
Rabbi trust          
Right To Reclaim Net Cash Collateral, Commodity Derivatives [Abstract]          
Gains (losses) related to securities held by the trust (less than for quarter ended April 30, 2023) 100 $ (6,600) 7,100 $ (12,000)  
Recurring basis          
Assets at Fair Value          
Cash and Cash Equivalents 580,496   580,496   982,107
Short-term Marketable Securities 17,531   17,531   16,149
Other Trading Securities 192,006   192,006   186,243
Commodity Derivatives 12,353   12,353   12,448
Total Assets at Fair Value 802,385   802,385   1,196,947
Liabilities at Fair Value          
Deferred Compensation 59,366   59,366   57,790
Total Liabilities at Fair Value 59,366   59,366   57,790
Recurring basis | Quoted Prices in Active Markets for Identical Assets (Level 1)          
Assets at Fair Value          
Cash and Cash Equivalents 579,647   579,647   980,730
Short-term Marketable Securities 2,641   2,641   8,763
Other Trading Securities 0   0   0
Commodity Derivatives 12,661   12,661   12,228
Total Assets at Fair Value 594,949   594,949   1,001,721
Liabilities at Fair Value          
Deferred Compensation 0   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 849   849   1,377
Short-term Marketable Securities 14,890   14,890   7,386
Other Trading Securities 192,006   192,006   186,243
Commodity Derivatives (308)   (308)   220
Total Assets at Fair Value 207,437   207,437   195,226
Liabilities at Fair Value          
Deferred Compensation 59,366   59,366   57,790
Total Liabilities at Fair Value 59,366   59,366   57,790
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
Total Liabilities at Fair Value $ 0   $ 0   $ 0