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CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' INVESTMENT - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Jan. 29, 2017
Jan. 24, 2016
Oct. 30, 2016
Increase (Decrease) in Shareholders' Investment      
Balance $ 4,451,406 $ 4,001,393 $ 4,001,393
Net earnings 235,303 235,167 890,517
Other comprehensive loss (6,077) (2,147) (70,895)
Purchases of common stock (30,588)   (87,885)
Stock-based compensation expense 7,240   17,829
Exercise of stock options/nonvested shares 7,773   7,511
Declared cash dividends - $0.17 per share and $0.58 per share ended January 29, 2017 and October 30, 2016, respectively (89,760)   (307,064)
Balance 4,575,297   4,451,406
Common Stock      
Increase (Decrease) in Shareholders' Investment      
Balance 7,742 7,741 7,741
Stock-based compensation expense     1
Exercise of stock options/nonvested shares 18   35
Shares retired (13)   (35)
Balance 7,747   7,742
Treasury Stock      
Increase (Decrease) in Shareholders' Investment      
Purchases of common stock (30,588)   (87,885)
Shares retired 30,588   87,885
Additional Paid-in Capital      
Increase (Decrease) in Shareholders' Investment      
Stock-based compensation expense 7,240   17,828
Exercise of stock options/nonvested shares 7,755   7,476
Shares retired (14,995)   (25,304)
Retained Earnings      
Increase (Decrease) in Shareholders' Investment      
Balance 4,736,567 4,216,125 4,216,125
Net earnings 235,147   890,052
Shares retired (15,580)   (62,546)
Declared cash dividends - $0.17 per share and $0.58 per share ended January 29, 2017 and October 30, 2016, respectively (89,760)   (307,064)
Balance 4,866,374   4,736,567
Accumulated Other Comprehensive Income (Loss)      
Increase (Decrease) in Shareholders' Investment      
Balance (296,303) (225,668) (225,668)
Other comprehensive loss (5,837)   (70,635)
Balance (302,140)   (296,303)
Non-controlling Interest      
Increase (Decrease) in Shareholders' Investment      
Balance 3,400 $ 3,195 3,195
Net earnings 156   465
Other comprehensive loss (240)   (260)
Balance $ 3,316   $ 3,400