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Stock-based Compensation (Tables)
12 Months Ended
Oct. 26, 2025
Share-Based Payment Arrangement [Abstract]  
Schedule of reconciliation of the number of options outstanding and exercisable
A reconciliation of the number of options outstanding and exercisable as of October 26, 2025, is:
Shares
(in thousands)
Weighted-average
Exercise Price
Weighted-average
Remaining Contractual
Term (Years)
Aggregate
Intrinsic Value
(in thousands)
Stock Options Outstanding at October 27, 2024
15,994 $38.43 
Granted2,737 31.39 
Exercised(1,081)26.08 
Forfeited (70)35.67 
Expired(271)38.82 
Stock Options Outstanding at October 26, 202517,308 $38.10 4.6$ 
Stock Options Exercisable at October 26, 202512,554 $39.80 3.0$ 
Schedule of weighted-average grant date fair value of stock options granted and the total intrinsic value of options exercised
The weighted-average grant date fair value of stock options granted and the total intrinsic value of options exercised are:
 Fiscal Year Ended
In thousands, except per share amountsOctober 26, 2025October 27, 2024October 29, 2023
Weighted-average Grant Date Fair Value$6.15 $5.95 $10.06 
Intrinsic Value of Exercised Options4,764 16,259 6,350 
Schedule of weighted-average assumptions used to calculate fair value of each option award
The fair value of each option award is calculated on the date of grant using the Black-Scholes valuation model utilizing the following weighted-average assumptions:
 Fiscal Year Ended
 October 26, 2025October 27, 2024October 29, 2023
Risk-free Interest Rate4.3 %4.1 %3.5 %
Dividend Yield3.7 %3.6 %2.4 %
Stock Price Volatility22.5 %21.5 %21.1 %
Expected Option Life7.5 years7.5 years7.4 years
Schedule of reconciliation of the nonvested shares A reconciliation of the restricted stock units as of October 26, 2025, is:
Shares
(in thousands)
Weighted-
average
Grant Date
Fair Value
Weighted-average
Remaining Contractual
Term (Years)
Aggregate
Intrinsic Value
(in thousands)
Restricted Stock Units Outstanding at October 27, 2024
882 $39.22 
Granted463 32.02 
Dividend Equivalents39 36.90 
Vested(546)39.99 
Forfeited(18)36.54 
Restricted Stock Units Outstanding at October 26, 2025
820 $34.50 1.4$19,536 
A reconciliation of the restricted shares as of October 26, 2025, is:
Shares
(in thousands)
Weighted-
average
Grant Date
Fair Value
Restricted Shares Outstanding at October 27, 202453 $31.51 
Granted54 29.64 
Vested(51)31.52 
Restricted Shares Outstanding at October 26, 202557 $29.72 
Schedule of the weighted-average grant date fair value and fair value of nonvested shares granted
The weighted-average grant date fair value of restricted stock units granted, the total fair value of restricted stock units granted, and the fair value of restricted stock units that have vested are:
Fiscal Year Ended
In thousands, except per share amountsOctober 26, 2025October 27, 2024October 29, 2023
Weighted-average Grant Date Fair Value$32.02 $31.39 $45.96 
Fair Value of Restricted Stock Units Granted14,837 12,355 10,889 
Fair Value of Restricted Stock Units Vested21,838 10,988 8,466 
The weighted-average grant date fair value of restricted shares granted, the total fair value of restricted shares granted, and the fair value of shares that have vested are:
 Fiscal Year Ended
In thousands, except per share amountsOctober 26, 2025October 27, 2024October 29, 2023
Weighted-average Grant Date Fair Value$29.64 $30.89 $44.14 
Fair Value of Restricted Shares Granted1,600 1,680 1,920 
Fair Value of Restricted Shares Vested1,600 1,600 1,760 
Schedule of reconciliation and weighted-average grant date fair value of deferred stock units A reconciliation of the deferred stock units as of October 26, 2025, is:
Shares
(in thousands)
Weighted-
average
Grant Date
Fair Value
Deferred Stock Units Outstanding at October 27, 2024121 $39.51 
Granted19 27.49 
Dividend Equivalents29.01 
Released
(10)43.53 
Deferred Stock Units Outstanding at October 26, 2025135 $37.14 

The weighted-average grant date fair value of deferred stock units granted, the total fair value of deferred stock units granted, and the fair value of shares released are:
 Fiscal Year Ended
In thousands, except per share amountsOctober 26, 2025October 27, 2024October 29, 2023
Weighted-average Grant Date Fair Value$27.49 $33.22 $38.93 
Fair Value of Deferred Stock Units Granted
525 431 680 
Fair Value of Deferred Stock Units Released
425 270 118