0001104659-13-090082.txt : 20131213 0001104659-13-090082.hdr.sgml : 20131213 20131213111759 ACCESSION NUMBER: 0001104659-13-090082 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20131109 FILED AS OF DATE: 20131213 DATE AS OF CHANGE: 20131213 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KROGER CO CENTRAL INDEX KEY: 0000056873 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-GROCERY STORES [5411] IRS NUMBER: 310345740 STATE OF INCORPORATION: OH FISCAL YEAR END: 0203 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-00303 FILM NUMBER: 131275385 BUSINESS ADDRESS: STREET 1: 1014 VINE ST CITY: CINCINNATI STATE: OH ZIP: 45201 BUSINESS PHONE: 5137624000 10-Q 1 a13-21605_110q.htm 10-Q

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

FORM 10-Q

 


 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended November 9, 2013

 

OR

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the transition period from           to           

 

Commission file number 1-303

 


 

(Exact name of registrant as specified in its charter)

 


 

Ohio

 

31-0345740

(State or other jurisdiction of

 

(I.R.S. Employer

incorporation or organization)

 

Identification No.)

 

1014 Vine Street, Cincinnati, OH 45202

(Address of principal executive offices)

(Zip Code)

 

(513) 762-4000

(Registrant’s telephone number, including area code)

 

Unchanged

(Former name, former address and former fiscal year, if changed since last report)

 


 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15 (d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes  x  No  o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes  x  No  o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

 

Large accelerated filer

x

 

Accelerated filer

 

o

Non-accelerated filer (do not check if a smaller reporting company)

o

 

Smaller reporting company

 

o

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes o No x.

 

There were 516,526,256 shares of Common Stock ($1 par value) outstanding as of December 11, 2013.

 

 

 



 

PART I — FINANCIAL INFORMATION

 

Item 1.         Financial Statements.

 

THE KROGER CO.

CONSOLIDATED STATEMENTS OF OPERATIONS

(in millions, except per share amounts)

(unaudited)

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Sales 

 

$

22,505

 

$

21,807

 

$

75,270

 

$

72,598

 

Merchandise costs, including advertising, warehousing, and transportation, excluding items shown separately below 

 

17,889

 

17,383

 

59,832

 

57,757

 

Operating, general and administrative 

 

3,549

 

3,305

 

11,664

 

11,161

 

Rent 

 

138

 

141

 

466

 

471

 

Depreciation

 

395

 

382

 

1,301

 

1,265

 

Operating profit 

 

534

 

596

 

2,007

 

1,944

 

Interest expense 

 

108

 

103

 

336

 

350

 

Earnings before income tax expense 

 

426

 

493

 

1,671

 

1,594

 

Income tax expense 

 

125

 

175

 

567

 

555

 

Net earnings including noncontrolling interests 

 

301

 

318

 

1,104

 

1,039

 

Net earnings attributable to noncontrolling interests

 

2

 

1

 

7

 

4

 

Net earnings attributable to The Kroger Co.

 

$

299

 

$

317

 

$

1,097

 

$

1,035

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per basic common share

 

$

0.58

 

$

0.61

 

$

2.11

 

$

1.90

 

 

 

 

 

 

 

 

 

 

 

Average number of common shares used in basic calculation 

 

515

 

518

 

515

 

539

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share

 

$

0.57

 

$

0.60

 

$

2.09

 

$

1.89

 

 

 

 

 

 

 

 

 

 

 

Average number of common shares used in diluted calculation 

 

521

 

522

 

521

 

543

 

 

 

 

 

 

 

 

 

 

 

Dividends declared per common share

 

$

0.165

 

$

0.150

 

$

0.465

 

$

0.380

 

 

The accompanying Notes are an integral part of the Consolidated Financial Statements.

 

2



 

THE KROGER CO.

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

(in millions and unaudited)

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Net earnings including noncontrolling interests

 

$

301

 

$

318

 

$

1,104

 

$

1,039

 

 

 

 

 

 

 

 

 

 

 

Other comprehensive income

 

 

 

 

 

 

 

 

 

Unrealized gain (loss) on available for sale securities, net of income tax(1)

 

(1

)

 

3

 

 

Amortization of amounts included in net periodic pension expense, net of income tax(2)

 

14

 

13

 

47

 

44

 

Unrealized gains and losses on cash flow hedging activities, net of income tax(3)

 

(2

)

3

 

(11

)

(11

)

Amortization of unrealized gains and losses on cash flow hedging activities, net of income tax(4)

 

 

1

 

1

 

3

 

 

 

 

 

 

 

 

 

 

 

Total other comprehensive income

 

11

 

17

 

40

 

36

 

 

 

 

 

 

 

 

 

 

 

Comprehensive income

 

312

 

335

 

1,144

 

1,075

 

Comprehensive income attributable to noncontrolling interests

 

2

 

1

 

7

 

4

 

Comprehensive income attributable to The Kroger Co.

 

$

310

 

$

334

 

$

1,137

 

$

1,071

 

 


(1)         Amount is net of tax of $2 for the first three quarters of 2013.

(2)         Amount is net of tax of $9 for the third quarter of 2013 and $8 for the third quarter of 2012.  Amount is net of tax of $29 for the first three quarters of 2013 and $27 for the first three quarters of 2012.

(3)         Amount is net of tax of $(3) for the third quarter of 2013 and $2 for the third quarter of 2012.  Amount is net of tax of $(8) for the first three quarters of 2013 and $(7) for the first three quarters of 2012.

(4)         Amount is net of tax of $1 for the third quarter and the first three quarters of 2013.

 

The accompanying Notes are an integral part of the Consolidated Financial Statements.

 

3



 

THE KROGER CO.

CONSOLIDATED BALANCE SHEETS

(in millions, except per share amounts)

(unaudited)

 

 

 

November 9,

 

February 2,

 

 

 

2013

 

2013

 

ASSETS

 

 

 

 

 

Current assets

 

 

 

 

 

Cash and temporary cash investments

 

$

344

 

$

238

 

Store deposits in-transit

 

881

 

955

 

Receivables

 

1,044

 

1,051

 

FIFO inventory

 

6,768

 

6,244

 

LIFO reserve

 

(1,140

)

(1,098

)

Prepaid and other current assets

 

315

 

569

 

Total current assets

 

8,212

 

7,959

 

 

 

 

 

 

 

Property, plant and equipment, net

 

15,456

 

14,849

 

Goodwill

 

1,234

 

1,234

 

Other assets

 

578

 

593

 

 

 

 

 

 

 

Total Assets

 

$

25,480

 

$

24,635

 

 

 

 

 

 

 

LIABILITIES

 

 

 

 

 

Current liabilities

 

 

 

 

 

Current portion of long-term debt including obligations under capital leases and financing obligations

 

$

1,122

 

$

2,734

 

Trade accounts payable

 

4,941

 

4,484

 

Accrued salaries and wages

 

1,047

 

1,017

 

Deferred income taxes

 

284

 

284

 

Other current liabilities

 

2,799

 

2,538

 

Total current liabilities

 

10,193

 

11,057

 

 

 

 

 

 

 

Long-term debt including obligations under capital leases and financing obligations

 

 

 

 

 

Face-value of long-term debt including obligations under capital leases and financing obligations

 

7,148

 

6,141

 

Adjustment to reflect fair-value interest rate hedges

 

¾

 

4

 

Long-term debt including obligations under capital leases and financing obligations

 

7,148

 

6,145

 

 

 

 

 

 

 

Deferred income taxes

 

816

 

800

 

Pension and postretirement benefit obligations

 

1,207

 

1,291

 

Other long-term liabilities

 

1,126

 

1,128

 

 

 

 

 

 

 

Total Liabilities

 

20,490

 

20,421

 

 

 

 

 

 

 

Commitments and contingencies (see Note 8)

 

 

 

 

 

 

 

 

 

 

 

SHAREOWNERS’ EQUITY

 

 

 

 

 

 

 

 

 

 

 

Preferred shares, $100 per share, 5 shares authorized and unissued

 

¾

 

¾

 

Common shares, $1 par per share, 1,000 shares authorized; 959 shares issued in 2013 and 2012

 

959

 

959

 

Additional paid-in capital

 

3,513

 

3,451

 

Accumulated other comprehensive loss

 

(713

)

(753

)

Accumulated earnings

 

10,651

 

9,787

 

Common shares in treasury, at cost, 445 shares in 2013 and 2012

 

(9,426

)

(9,237

)

 

 

 

 

 

 

Total Shareowners’ Equity - The Kroger Co.

 

4,984

 

4,207

 

Noncontrolling interests

 

6

 

7

 

 

 

 

 

 

 

Total Equity

 

4,990

 

4,214

 

 

 

 

 

 

 

Total Liabilities and Equity

 

$

25,480

 

$

24,635

 

 

The accompanying Notes are an integral part of the Consolidated Financial Statements.

 

4



 

THE KROGER CO.

CONSOLIDATED STATEMENTS OF CASH FLOWS

(in millions and unaudited)

 

 

 

Three Quarters Ended

 

 

 

November 9,
2013

 

November 3,
2012

 

Cash Flows from Operating Activities:

 

 

 

 

 

Net earnings including noncontrolling interests 

 

$

1,104

 

$

1,039

 

Adjustments to reconcile net earnings including noncontrolling interests to net cash provided by operating activities: 

 

 

 

 

 

Depreciation

 

1,301

 

1,265

 

LIFO charge 

 

42

 

96

 

Stock-based employee compensation 

 

78

 

61

 

Expense for Company-sponsored pension plans 

 

57

 

68

 

Deferred income taxes 

 

21

 

130

 

Other 

 

62

 

37

 

Changes in operating assets and liabilities net of effects from acquisitions of businesses: 

 

 

 

 

 

Store deposits in-transit 

 

74

 

(134

)

Receivables 

 

5

 

(131

)

Inventories 

 

(524

)

(531

)

Prepaid expenses 

 

262

 

(32

)

Trade accounts payable 

 

402

 

386

 

Accrued expenses 

 

142

 

57

 

Income taxes receivable and payable 

 

11

 

115

 

Other 

 

(120

)

(158

)

 

 

 

 

 

 

Net cash provided by operating activities 

 

2,917

 

2,268

 

 

 

 

 

 

 

Cash Flows from Investing Activities: 

 

 

 

 

 

Payments for property and equipment, including payments for lease buyouts 

 

(1,786

)

(1,471

)

Proceeds from sale of assets 

 

15

 

23

 

Payments for acquisitions

 

¾

 

(12

)

Other 

 

(47

)

(28

)

 

 

 

 

 

 

Net cash used by investing activities 

 

(1,818

)

(1,488

)

 

 

 

 

 

 

Cash Flows from Financing Activities: 

 

 

 

 

 

Proceeds from issuance of long-term debt

 

1,025

 

850

 

Dividends paid 

 

(233

)

(189

)

Payments on long-term debt 

 

(431

)

(921

)

Net (payments) borrowings on commercial paper

 

(1,220

)

744

 

Excess tax benefits on stock-based awards

 

24

 

5

 

Proceeds from issuance of capital stock 

 

186

 

72

 

Treasury stock purchases 

 

(384

)

(1,204

)

Net increase in book overdrafts

 

56

 

115

 

Other 

 

(16

)

(5

)

 

 

 

 

 

 

Net cash used by financing activities 

 

(993

)

(533

)

 

 

 

 

 

 

Net increase in cash and temporary cash investments 

 

106

 

247

 

 

 

 

 

 

 

Cash and temporary cash investments: 

 

 

 

 

 

Beginning of year 

 

238

 

188

 

End of quarter 

 

$

344

 

$

435

 

 

 

 

 

 

 

Reconciliation of capital investments: 

 

 

 

 

 

Payments for property and equipment, including payments for lease buyouts 

 

$

(1,786

)

$

(1,471

)

Payments for lease buyouts

 

108

 

24

 

Changes in construction-in-progress payables 

 

(110

)

(11

)

Total capital investments, excluding lease buyouts 

 

$

(1,788

)

$

(1,458

)

 

 

 

 

 

 

Disclosure of cash flow information: 

 

 

 

 

 

Cash paid during the year for interest 

 

$

308

 

$

320

 

Cash paid during the year for income taxes 

 

$

489

 

$

334

 

 

The accompanying Notes are an integral part of the Consolidated Financial Statements.

 

5



 

THE KROGER CO.

CONSOLIDATED STATEMENTS OF CHANGES IN SHAREOWNERS’ EQUITY

(in millions, except per share amounts)

(unaudited)

 

 

 

 

 

 

 

 

 

 

 

 

 

Accumulated

 

 

 

 

 

 

 

 

 

 

 

 

 

Additional

 

 

 

 

 

Other

 

 

 

 

 

 

 

 

 

Common Stock

 

Paid-In

 

Treasury Stock

 

Comprehensive

 

Accumulated

 

Noncontrolling

 

 

 

 

 

Shares

 

Amount

 

Capital

 

Shares

 

Amount

 

Gain (Loss)

 

Earnings

 

Interest

 

Total

 

Balances at January 28, 2012

 

959

 

$

959

 

$

3,427

 

398

 

$

(8,132

)

$

(844

)

$

8,571

 

$

(15

)

$

3,966

 

Issuance of common stock:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Stock options exercised

 

 

 

 

(4

)

72

 

 

 

 

72

 

Restricted stock issued

 

 

 

(57

)

(2

)

38

 

 

 

 

(19

)

Treasury stock activity:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Treasury stock purchases, at cost

 

 

 

 

50

 

(1,137

)

 

 

 

(1,137

)

Stock options exchanged

 

 

 

 

3

 

(67

)

 

 

 

(67

)

Share-based employee compensation

 

 

 

61

 

 

 

 

 

 

61

 

Other comprehensive gain net of income tax of $20

 

 

 

 

 

 

36

 

 

 

36

 

Other

 

 

 

3

 

 

(2

)

 

 

12

 

13

 

Cash dividends declared ($0.38 per common share)

 

 

 

 

 

 

 

(202

)

 

(202

)

Net earnings including noncontrolling interests

 

 

 

 

 

 

 

1,035

 

4

 

1,039

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Balances at November 3, 2012

 

959

 

$

959

 

$

3,434

 

445

 

$

(9,228

)

$

(808

)

$

9,404

 

$

1

 

$

3,762

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Balances at February 2, 2013

 

959

 

$

959

 

$

3,451

 

445

 

$

(9,237

)

$

(753

)

$

9,787

 

$

7

 

$

4,214

 

Issuance of common stock:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Stock options exercised

 

 

 

 

(8

)

186

 

 

 

 

186

 

Restricted stock issued

 

 

 

(58

)

(2

)

26

 

 

 

 

(32

)

Treasury stock activity:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Treasury stock purchases, at cost

 

 

 

 

3

 

(126

)

 

 

 

(126

)

Stock options exchanged

 

 

 

 

7

 

(258

)

 

 

 

(258

)

Share-based employee compensation

 

 

 

78

 

 

 

 

 

 

78

 

Other comprehensive gain net of income tax of $24

 

 

 

 

 

 

40

 

 

 

40

 

Other

 

 

 

42

 

 

(17

)

 

 

(8

)

17

 

Cash dividends declared ($0.465 per common share)

 

 

 

 

 

 

 

(233

)

 

(233

)

Net earnings including noncontrolling interests

 

 

 

 

 

 

 

1,097

 

7

 

1,104

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Balances at November 9, 2013

 

959

 

$

959

 

$

3,513

 

445

 

$

(9,426

)

$

(713

)

$

10,651

 

$

6

 

$

4,990

 

 

The accompanying Notes are an integral part of the Consolidated Financial Statements.

 

6



 

NOTES TO UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS

 

All amounts in the Notes to Consolidated Financial Statements are in millions except per share amounts.

 

Certain prior-year amounts have been reclassified to conform to current-year presentation.

 

1.              ACCOUNTING POLICIES

 

Basis of Presentation and Principles of Consolidation

 

The accompanying financial statements include the consolidated accounts of The Kroger Co., its wholly-owned subsidiaries, and the Variable Interest Entities (“VIEs”) in which the Company is the primary beneficiary.  The February 2, 2013 balance sheet was derived from audited financial statements and, due to its summary nature, does not include all disclosures required by generally accepted accounting principles (“GAAP”).  Significant intercompany transactions and balances have been eliminated.  References to the “Company” in these Consolidated Financial Statements mean the consolidated company.

 

In the opinion of management, the accompanying unaudited Consolidated Financial Statements include all normal, recurring adjustments that are necessary for a fair presentation of results of operations for such periods but should not be considered as indicative of results for a full year.  The financial statements have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”).  Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been omitted, pursuant to SEC regulations.  Accordingly, the accompanying Consolidated Financial Statements should be read in conjunction with the financial statements in the Annual Report on Form 10-K of The Kroger Co. for the fiscal year ended February 2, 2013.

 

The unaudited information in the Consolidated Financial Statements for the third quarter and the three quarters ended November 9, 2013 and November 3, 2012, includes the results of operations of the Company for the 12 and 40-week periods then ended.

 

2.  STOCK OPTION PLANS

 

The Company recognized total stock-based compensation of $31 and $20 in the third quarters ended November 9, 2013 and November 3, 2012, respectively.  The Company recognized total stock-based compensation of $78 and $61 in the first three quarters of 2013 and 2012, respectively.  These costs were recognized as operating, general and administrative costs in the Company’s Consolidated Statements of Operations.

 

The Company grants options for common shares (“stock options”) to employees, as well as to its non-employee directors, under various plans at an option price equal to the fair market value of the shares at the date of grant.  In addition to stock options, the Company awards restricted stock to employees and its non-employee directors under various plans.  Beginning in 2013, non-employee directors were awarded incentive shares in lieu of restricted stock and stock options.  Equity awards may be made once each quarter on a predetermined date.  It has been the Company’s practice to make a general annual grant to employees, which occurred in the second quarter of 2013.  Special grants may be made in the other three quarters.  Grants to non-employee directors occur on the same date that the general annual grant to employees occurs.

 

Stock options granted in the first three quarters of 2013 expire 10 years from the date of grant and vest between one year and five years from the date of grant. Restricted stock awards granted in the first three quarters of 2013 have restrictions that lapse between one year and five years from the date of the awards.  All grants and awards become immediately exercisable, in the case of options, and restrictions lapse, in the case of restricted stock, upon certain changes of control of the Company.

 

7



 

Changes in equity awards outstanding under the plans are summarized below.

 

Stock Options

 

 

 

Shares subject
to option

 

Weighted-average
exercise price

 

Outstanding, February 2, 2013 

 

26.5

 

$

22.61

 

Granted 

 

4.2

 

$

37.65

 

Exercised 

 

(8.4

)

$

22.25

 

Canceled or Expired 

 

(0.2

)

$

24.81

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

22.1

 

$

25.55

 

 

Restricted Stock

 

 

 

Restricted shares
outstanding

 

Weighted-average
grant-date fair value

 

Outstanding, February 2, 2013 

 

4.3

 

$

22.67

 

Granted 

 

2.6

 

$

37.62

 

Vested 

 

(2.5

)

$

22.90

 

Forfeited

 

(0.1

)

$

26.01

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

4.3

 

$

31.47

 

 

The weighted-average grant date fair value of stock options granted during the first three quarters of 2013 and 2012, was $8.97 and $4.37, respectively.  The fair value of each stock option grant was estimated on the date of grant using the Black-Scholes option-pricing model, based on the assumptions shown in the table below.  The Black-Scholes model utilizes extensive accounting judgment and financial estimates, including the term option holders are expected to retain their stock options before exercising them, the volatility of the Company’s stock price over that expected term, the dividend yield over the term, and the number of awards expected to be forfeited before they vest.  Using alternative assumptions in the calculation of fair value would produce fair values for stock option grants that could be different than those used to record stock-based compensation expense in the Consolidated Statements of Operations.  The increase in the fair value of the stock options granted during the first three quarters of 2013, compared to the first three quarters of 2012, resulted primarily from an increase in the Company’s share price, which decreased the expected dividend yield and an increase in the weighted average risk-free interest rate.

 

The following table reflects the weighted average assumptions used for grants awarded to option holders:

 

 

 

2013

 

2012

Risk-free interest rate

 

1.87%

 

0.97%

Expected dividend yield

 

1.82%

 

2.49%

Expected volatility

 

26.34%

 

26.49%

Expected term

 

6.8 Years

 

6.9 Years

 

8



 

3.              DEBT OBLIGATIONS

 

Long-term debt consists of:

 

 

 

November 9,

 

February 2,

 

 

 

2013

 

2013

 

2.20% to 8.00% Senior Notes due through 2043 

 

$

7,186

 

$

6,587

 

5.00% to 12.75% Mortgages due in varying amounts through 2034

 

82

 

60

 

0.28% to 0.45% Commercial paper borrowings due through November 2013

 

425

 

1,645

 

Other 

 

185

 

184

 

 

 

 

 

 

 

Total debt, excluding capital leases and financing obligations 

 

7,878

 

8,476

 

 

 

 

 

 

 

Less current portion 

 

(1,087

)

(2,700

)

 

 

 

 

 

 

Total long-term debt, excluding capital leases and financing obligations 

 

$

6,791

 

$

5,776

 

 

In the first quarter of 2013, the Company repaid $400 of senior notes bearing an interest rate of 5.00% upon their maturity.

 

In the second quarter of 2013, the Company issued $600 of senior notes due in fiscal year 2023 bearing an interest rate of 3.85% and $400 of senior notes due in fiscal year 2043 bearing an interest rate of 5.15%.

 

In the first three quarters of 2013, the Company decreased the amount of commercial paper borrowings outstanding by $1,220.

 

4.              BENEFIT PLANS

 

The following table provides the components of net periodic benefit costs for the Company-sponsored defined benefit pension plans and other post-retirement benefit plans for the third quarters of 2013 and 2012.

 

 

 

Third Quarter Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

10

 

$

11

 

$

4

 

$

4

 

Interest cost 

 

35

 

36

 

3

 

3

 

Expected return on plan assets 

 

(52

)

(49

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(1

)

(1

)

Actuarial loss 

 

24

 

22

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

17

 

$

20

 

$

6

 

$

6

 

 

9



 

The following table provides the components of net periodic benefit costs for the Company-sponsored defined benefit pension plans and other post-retirement benefit plans for the first three quarters of 2013 and 2012.

 

 

 

Three Quarters Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

33

 

$

36

 

$

13

 

$

13

 

Interest cost 

 

118

 

120

 

12

 

12

 

Expected return on plan assets 

 

(173

)

(162

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(3

)

(3

)

Actuarial loss 

 

79

 

74

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

57

 

$

68

 

$

22

 

$

22

 

 

The Company contributed $100 to its Company-sponsored defined benefit pension plans in the first quarter of 2013.  The Company did not make any contributions in the second and third quarters of 2013 and does not expect to make any additional contributions in 2013.

 

The Company contributed $115 and $110 to employee 401(k) retirement savings accounts in the first three quarters of 2013 and 2012, respectively.

 

The Company also contributes to various multi-employer pension plans based on obligations arising from most of its collective bargaining agreements. These plans provide retirement benefits to participants based on their service to contributing employers. The Company recognizes expense in connection with these plans as contributions are funded.

 

5.              EARNINGS PER COMMON SHARE

 

Net earnings attributable to The Kroger Co. per basic common share equal net earnings attributable to The Kroger Co. less income allocated to participating securities divided by the weighted average number of common shares outstanding. Net earnings attributable to The Kroger Co. per diluted common share equal net earnings attributable to The Kroger Co. less income allocated to participating securities divided by the weighted average number of common shares outstanding, after giving effect to dilutive stock options. The following table provides a reconciliation of net earnings attributable to The Kroger Co. and shares used in calculating net earnings attributable to The Kroger Co. per basic common share to those used in calculating net earnings attributable to The Kroger Co. per diluted common share:

 

 

 

Third Quarter Ended

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

297

 

515

 

$

0.58

 

$

314

 

518

 

$

0.61

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

297

 

521

 

$

0.57

 

$

314

 

522

 

$

0.60

 

 

 

 

Three Quarters Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

1,088

 

515

 

$

2.11

 

$

1,027

 

539

 

$

1.90

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

1,088

 

521

 

$

2.09

 

$

1,027

 

543

 

$

1.89

 

 

10



 

The Company had combined undistributed and distributed earnings to participating securities totaling $2 in the third quarter of 2013 and $3 in the third quarter of 2012.  For the first three quarters of 2013 and 2012, the Company had combined undistributed and distributed earnings to participating securities of $9 and $8, respectively.

 

The Company had options outstanding for approximately 4 and 14 shares during the third quarters of 2013 and 2012, respectively, which were excluded from the computations of earnings per diluted common share because their inclusion would have had an anti-dilutive effect on earnings per share.  The Company had options outstanding for approximately 2 shares in the first three quarters of 2013 and 12 shares in the first three quarters of 2012 that were excluded from the computations of earnings per diluted common share because their inclusion would have had an anti-dilutive effect on earnings per share.

 

6.              RECENTLY ADOPTED ACCOUNTING STANDARDS

 

In February 2013, the Financial Accounting Standards Board (“FASB”) amended its standards on comprehensive income by requiring disclosure of information about amounts reclassified out of accumulated other comprehensive income (“AOCI”) by component.  Specifically, the amendment requires disclosure of the effect of significant reclassifications out of AOCI on the respective line items in net income in which the item was reclassified if the amount being reclassified is required to be reclassified to net income in its entirety in the same reporting period.  It requires cross reference to other disclosures that provide additional detail for amounts that are not required to be reclassified in their entirety in the same reporting period.  This new disclosure became effective for the Company beginning February 3, 2013, and is being adopted prospectively in accordance with the standard.  See Note 11 to the Company’s Consolidated Financial Statements for the Company’s new disclosures related to this amended standard.

 

In December 2011, the FASB amended its standards related to offsetting assets and liabilities.  This amendment requires entities to disclose both gross and net information about certain instruments and transactions eligible for offset in the statement of financial position and certain instruments and transactions subject to an agreement similar to a master netting agreement.  This information is intended to enable users of the financial statements to understand the effect of these arrangements on the Company’s financial position.  The new rules became effective for the Company on February 3, 2013.  In January 2013, the FASB further amended this standard to limit its scope to derivatives, repurchase and reverse repurchase agreements, securities borrowings and lending transactions.  See Note 9 to the Company’s Consolidated Financial Statements for the Company’s new disclosures related to this amended standard.

 

7.              RECENTLY ISSUED ACCOUNTING STANDARDS

 

In July 2013, the FASB amended Accounting Standards Codification (“ASC”) 740, “Income Taxes.” The amendment provides guidance on the financial statement presentation of an unrecognized tax benefit, as either a reduction of a deferred tax asset or as a liability, when a net operating loss carryforward, similar tax loss, or a tax credit carryforward exists. The amendment will be effective for interim and annual periods beginning after December 15, 2013 and may be applied on a retrospective basis.  Early adoption is permitted. The Company does not expect the adoption of this amendment to have a significant effect on the Company’s consolidated financial position or results of operations.

 

8.              COMMITMENTS AND CONTINGENCIES

 

The Company continuously evaluates contingencies based upon the best available evidence.

 

The Company believes that allowances for loss have been provided to the extent necessary and that its assessment of contingencies is reasonable.  To the extent that resolution of contingencies results in amounts that vary from the Company’s estimates, future earnings will be charged or credited.

 

Litigation — Various claims and lawsuits arising in the normal course of business, including suits charging violations of certain antitrust, wage and hour, or civil rights laws, are pending against the Company.  Some of these suits purport or have been determined to be class actions and/or seek substantial damages.  Any damages that may be awarded in antitrust cases will be automatically trebled.  Although it is not possible at this time to evaluate the merits of all of these claims and lawsuits, nor their likelihood of success, the Company is of the belief that any resulting liability will not have a material adverse effect on the Company’s financial position, results of operations, or cash flows.

 

11



 

The Company continually evaluates its exposure to loss contingencies arising from pending or threatened litigation and believes it has made provisions where it is reasonably possible to estimate and where an adverse outcome is probable.  Nonetheless, assessing and predicting the outcomes of these matters involve substantial uncertainties.  Management currently believes that the aggregate range of loss for the Company’s exposure is not material to the Company.  It remains possible that despite management’s current belief, material differences in actual outcomes or changes in management’s evaluation or predictions could arise that could have a material adverse effect on the Company’s financial condition, results of operations, or cash flows.

 

9.              DERIVATIVE FINANCIAL INSTRUMENTS

 

GAAP defines derivatives, requires that derivatives be carried at fair value on the balance sheet, and provides for hedge accounting when certain conditions are met.  The Company’s derivative financial instruments are recognized on the balance sheet at fair value.  Changes in the fair value of derivative instruments designated as “cash flow” hedges, to the extent the hedges are highly effective, are recorded in other comprehensive income, net of tax effects.  Ineffective portions of cash flow hedges, if any, are recognized in current period earnings.  Other comprehensive income or loss is reclassified into current period earnings when the hedged transaction affects earnings.  Changes in the fair value of derivative instruments designated as “fair value” hedges, along with corresponding changes in the fair value of the hedged assets or liabilities, are recorded in current period earnings.  Ineffective portions of fair value hedges, if any, are recognized in current period earnings.

 

The Company assesses, both at the inception of the hedge and on an ongoing basis, whether derivatives used as hedging instruments are highly effective in offsetting the changes in the fair value or cash flow of the hedged items.  If it is determined that a derivative is not highly effective as a hedge or ceases to be highly effective, the Company discontinues hedge accounting prospectively.

 

Interest Rate Risk Management

 

The Company is exposed to market risk from fluctuations in interest rates.  The Company manages its exposure to interest rate fluctuations through the use of interest rate swaps (fair value hedges) and forward-starting interest rate swaps (cash flow hedges).  The Company’s current program relative to interest rate protection contemplates hedging the exposure to changes in the fair value of fixed-rate debt attributable to changes in interest rates.  To do this, the Company uses the following guidelines: (i) use average daily outstanding borrowings to determine annual debt amounts subject to interest rate exposure, (ii) limit the average annual amount subject to interest rate reset and the amount of floating rate debt to a combined total of $2,500 or less, (iii) include no leveraged products, and (iv) hedge without regard to profit motive or sensitivity to current mark-to-market status.

 

Annually, the Company reviews with the Financial Policy Committee of the Board of Directors compliance with these guidelines.  These guidelines may change as the Company’s needs dictate.

 

Fair Value Interest Rate Swaps

 

The table below summarizes the outstanding interest rate swaps designated as fair value hedges as of November 9, 2013 and February 2, 2013.

 

 

 

November 9, 2013

 

February 2, 2013

 

 

 

Pay
Floating

 

Pay
Fixed

 

Pay
Floating

 

Pay
Fixed

 

Notional amount

 

$

100

 

$

 

$

475

 

$

 

Number of contracts

 

2

 

 

6

 

 

Duration in years

 

5.17

 

 

1.41

 

 

Average variable rate

 

5.84

%

 

3.29

%

 

Average fixed rate

 

6.80

%

 

5.38

%

 

Maturity

 

December 2018

 

Between April 2013 and December 2018

 

 

During the first quarter of 2013, four of the Company’s fair value swaps, with a notional amount aggregating $375, matured.

 

12



 

The gain or loss on these derivative instruments as well as the offsetting gain or loss on the hedged items attributable to the hedged risk is recognized in current income as “Interest expense.”  These gains and losses for the third quarters and first three quarters of 2013 and 2012 were as follows:

 

 

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

1

 

$

(2

)

$

(4

)

$

4

 

 

 

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

(4

)

$

3

 

$

(18

)

$

14

 

 

The following table summarizes the location and fair value of derivative instruments designated as fair value hedges on the Company’s Consolidated Balance Sheets:

 

 

 

Asset Derivatives

 

 

 

Fair Value

 

 

 

Derivatives Designated as Fair Value Hedging Instruments

 

November 9,
2013

 

February 2,
2013

 

Balance Sheet Location

 

Interest Rate Hedges

 

$

(3

)

$

1

 

(Other Long-Term Liabilities)/Other Assets

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

As of November 9, 2013, the Company had 5 forward-starting interest rate swap agreements with maturity dates of January 2014 with an aggregate notional amount totaling $250.  A forward-starting interest rate swap is an agreement that effectively hedges the variability in future benchmark interest payments attributable to changes in interest rates on the forecasted issuance of fixed-rate debt.  The Company entered into these forward-starting interest rate swaps in order to lock in fixed interest rates on its forecasted issuances of debt in fiscal year 2013.  Accordingly, the forward-starting interest rate swaps were designated as cash-flow hedges as defined by GAAP.  As of November 9, 2013, the fair value of the interest rate swaps was recorded in other assets for $18 and accumulated other comprehensive income (“AOCI”) for $11 net of tax.

 

As of February 2, 2013, the Company had 17 forward-starting interest rate swap agreements with maturity dates between April 2013 and January 2014 with an aggregate notional amount totaling $850.  In 2012, the Company entered into 7 of these forward-starting interest rate swap agreements with an aggregate notional amount totaling $350.  The Company entered into the forward-starting interest rate swaps in order to lock in fixed interest rates on its forecasted issuances of debt in fiscal year 2013.  Accordingly, the forward-starting interest rate swaps were designated as cash-flow hedges as defined by GAAP.  As of February 2, 2013, the fair value of the interest rate swaps was recorded in other assets and other long-term liabilities for $14 and $9, respectively, and AOCI and accumulated other comprehensive loss for $9 net of tax and $6 net of tax, respectively.

 

During the first quarter of 2013, the Company terminated 12 forward-starting interest rate swap agreements with maturity dates of April 2013 with an aggregate notional amount totaling $600.  In addition, in the first quarter of 2013, the Company entered into and terminated 7 forward-starting interest rate swap agreements with an aggregate notional amount totaling $600.  These 19 forward-starting interest rate swap agreements were hedging the variability in future benchmark interest payments attributable to changing interest rates on $600 of fixed-rate debt that the Company anticipated issuing at the time.  As discussed in Note 3, the Company issued $1,000 of senior notes in the second quarter of 2013.  Since these forward-starting interest rate swap agreements were classified as cash flow hedges, the unamortized loss of $32, $20 net of tax, is deferred in accumulated other comprehensive loss and will be amortized to earnings as interest payments are made on the related debt.

 

13



 

The following tables summarize the effect of the Company’s derivative instruments designated as cash flow hedges for the third quarters and first three quarters of 2013 and 2012:

 

 

 

Third Quarter Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

 

$

(1

)

Interest expense

 

 


*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

 

 

 

Three Quarters Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

(1

)

$

(3

)

Interest expense

 

 


*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

 

For the above fair value and cash flow interest rate swaps, the Company has entered into International Swaps and Derivatives Association master netting agreements that permit the net settlement of amounts owed under their respective derivative contracts.  Under these master netting agreements, net settlement generally permits the Company or the counterparty to determine the net amount payable for contracts due on the same date and in the same currency for similar types of derivative transactions.  These master netting agreements generally also provide for net settlement of all outstanding contracts with a counterparty in the case of an event of default or a termination event.

 

Collateral is generally not required of the counterparties or of the Company under these master netting agreements. As of November 9, 2013 and February 2, 2013, no cash collateral was received or pledged under the master netting agreements.

 

14



 

The effect of the net settlement provisions of these master netting agreements on the Company’s derivative balances upon an event of default or termination event is as follows as of November 9, 2013 and February 2, 2013:

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

November 9, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

18

 

$

 

$

18

 

$

 

$

 

$

18

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Fair Value Interest Rate Swaps

 

$

3

 

$

 

$

3

 

$

 

$

 

$

3

 

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

February 2, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

16

 

$

(2

)

$

14

 

$

 

$

 

$

14

 

Fair Value Interest Rate Swaps

 

1

 

 

1

 

 

 

1

 

Total

 

$

17

 

$

(2

)

$

15

 

$

 

$

 

$

15

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

11

 

$

(2

)

$

9

 

$

 

$

 

$

9

 

 

Commodity Price Protection

 

The Company enters into purchase commitments for various resources, including raw materials utilized in its manufacturing facilities and energy to be used in its stores, warehouses, manufacturing facilities and administrative offices.  The Company enters into commitments expecting to take delivery of and to utilize those resources in the conduct of normal business.  Those commitments for which the Company expects to utilize or take delivery in a reasonable amount of time in the normal course of business qualify as normal purchases and normal sales.

 

10.       FAIR VALUE MEASUREMENTS

 

GAAP establishes a fair value hierarchy that prioritizes the inputs used to measure fair value.  The three levels of the fair value hierarchy defined in the standards are as follows:

 

Level 1 — Quoted prices are available in active markets for identical assets or liabilities;

 

Level 2 — Pricing inputs are other than quoted prices in active markets included in Level 1, which are either directly or indirectly observable;

 

Level 3 — Unobservable pricing inputs in which little or no market activity exists, therefore requiring an entity to develop its own assumptions about the assumptions that market participants would use in pricing an asset or liability.

 

15



 

For items carried at (or adjusted to) fair value in the Consolidated Financial Statements, the following tables summarize the fair value of these instruments at November 9, 2013 and February 2, 2013:

 

November 9, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

33

 

$

 

$

 

$

33

 

Warrants

 

 

13

 

 

13

 

Long-Lived Assets

 

 

 

18

 

18

 

Interest Rate Hedges

 

 

15

 

 

15

 

Total

 

$

33

 

$

28

 

$

18

 

$

79

 

 

February 2, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

8

 

$

 

$

20

 

$

28

 

Long-Lived Assets

 

 

 

8

 

8

 

Interest Rate Hedges

 

 

6

 

 

6

 

Total

 

$

8

 

$

6

 

$

28

 

$

42

 

 

In the first quarter of 2013, one of the Company’s available-for-sale securities began trading in an active market.  Because of this, the Company transferred the $20 fair value of securities from a Level 3 asset to a Level 1 asset in the first quarter of 2013.  In the first three quarters of 2013, unrealized gains on the Level 1 available-for-sale securities totaled $5.

 

The Company values warrants using the Black-Scholes option-pricing model.  The Black-Scholes option-pricing model is classified as a Level 2 input.

 

The Company values interest rate hedges using observable forward yield curves.  These forward yield curves are classified as Level 2 inputs.

 

Fair value measurements of non-financial assets and non-financial liabilities are primarily used in the impairment analysis of goodwill, other intangible assets, and long-lived assets, and in the valuation of store lease exit costs.  The Company reviews goodwill and other intangible assets for impairment annually, during the fourth quarter of each fiscal year, and as circumstances indicate the possibility of impairment.  See Note 2 to the Consolidated Financial Statements in the Annual Report on Form 10-K for the fiscal year ended February 2, 2013 for further discussion related to the Company’s carrying value of goodwill.  Long-lived assets and store lease exit costs were measured at fair value on a nonrecurring basis using Level 3 inputs as defined in the fair value hierarchy.  See Note 1 to the Consolidated Financial Statements in the Annual Report on Form 10-K for the fiscal year ended February 2, 2013 for further discussion of the Company’s policies regarding the valuation of long-lived assets and store lease exit costs.  For the first three quarters of 2013, long-lived assets with a carrying amount of $48 were written down to their fair value of $18 resulting in an impairment charge of $30.  For the first three quarters of 2012, long-lived assets with a carrying amount of $14 were written down to their fair value of $4 resulting in an impairment charge of $10.

 

16



 

Fair Value of Other Financial Instruments

 

Current and Long-term Debt

 

The fair value of the Company’s long-term debt, including current maturities, was estimated based on the quoted market prices for the same or similar issues adjusted for illiquidity based on available market evidence.  If quoted market prices were not available, the fair value was based on the net present value of the future cash flow using the forward interest rate yield curve in effect at November 9, 2013, and February 2, 2013, which is a Level 3 measurement technique.  At November 9, 2013, the fair value of total debt was $8,440 compared to a carrying value of $7,878.  At February 2, 2013, the fair value of total debt was $9,339 compared to a carrying value of $8,476.

 

Cash and Temporary Cash Investments, Store Deposits In-Transit, Receivables, Prepaid and Other Current Assets, Trade Accounts Payable, Accrued Salaries and Wages and Other Current Liabilities

 

The carrying amounts of these items approximated fair value.

 

Other Assets

 

The fair values of these other assets were estimated based on quoted market prices for those or similar assets, or estimated cash flows, if appropriate.  At November 9, 2013, and February 2, 2013, the carrying and fair value of other assets for which fair value is determinable was $52 and $44, respectively.

 

11.  OTHER COMPREHENSIVE INCOME (LOSS)

 

The following table represents the changes in AOCI by component for the first three quarters of 2013:

 

 

 

Cash Flow
Hedging
Activities(1)

 

Available for sale
Securities(1)

 

Pension and
Postretirement
Defined Benefit
Plans(1)

 

Total(1)

 

Balance at February 2, 2013

 

$

(14

)

$

7

 

$

(746

)

$

(753

)

OCI before reclassifications(2)

 

(11

)

3

 

 

(8

)

Amounts reclassified out of AOCI

 

1

 

 

47

 

48

 

Net current-period OCI

 

(10

)

3

 

47

 

40

 

Balance at November 9, 2013

 

$

(24

)

$

10

 

$

(699

)

$

(713

)

 


(1) All amounts are net of tax.

(2) Net of tax of $(8) and $2 for cash flow hedging activities and available for sale securities, respectively.

 

17



 

The following table represents the items reclassified out of AOCI and the related tax effects for the third quarter and first three quarters of 2013:

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 9, 2013

 

 

 

 

 

 

 

Gains on cash flow hedging activities

 

 

 

 

 

Amortization of unrealized gains and losses on cash flow hedging activities(1)

 

$

1

 

$

2

 

Tax expense

 

(1

)

(1

)

Net of tax

 

 

1

 

 

 

 

 

 

 

Pension and postretirement defined benefit plan items

 

 

 

 

 

Amortization of amounts included in net periodic pension expense(2)

 

23

 

76

 

Tax expense

 

(9

)

(29

)

Net of tax

 

14

 

47

 

Total reclassifications, net of tax

 

$

14

 

$

48

 

 


(1) Reclassified from AOCI into interest expense.

(2) Reclassified from AOCI into merchandise costs and operating, general and administrative expense.  These components are included in the computation of net periodic pension expense (see Note 4 to the Company’s Consolidated Financial Statements for additional details).

 

12.  INCOME TAXES

 

The effective income tax rate was 29.3% and 35.5% for the third quarters of 2013 and 2012, respectively.  The effective income tax rate was 33.9% and 34.8% for the first three quarters of 2013 and 2012, respectively.  The effective income tax rates for the third quarter and first three quarters of 2013 differed from the federal statutory rate primarily due to the benefit of certain tax items, offset partially by the effect of state income taxes.  The effective tax rate for the third quarter of 2012 approximates the federal statutory rate.  The effective income tax rate for the first three quarters of 2012 differed from the federal statutory rate primarily due to the favorable resolution of certain tax issues, partially offset by the effect of state income taxes.

 

On September 13, 2013, the U.S. Department of the Treasury and Internal Revenue Service released final tangible property regulations that provide guidance on the tax treatment regarding the deduction and capitalization of expenditures related to tangible property.  These regulations are effective for tax years beginning on or after January 1, 2014.  The Company is currently assessing these rules and their effect to its financial statements, and believes adoption of these regulations will not have an effect on net income and will not have a material effect on the reclassification between long-term deferred tax liabilities and current income tax liabilities.

 

13.  POTENTIAL MERGER

 

During the second quarter, the Company announced that it had entered into a merger agreement with Harris Teeter Supermarkets, Inc. under which the Company will purchase all outstanding shares of Harris Teeter Supermarkets, Inc. for approximately $2,500 in cash.  In the second quarter of 2013, the Company also entered into an unsecured bridge loan agreement (the “Bridge Loan Agreement”) to provide an additional source of financing, if necessary, to fund a portion of the merger with Harris Teeter. The Bridge Loan Agreement provides the Company the ability to borrow, based on certain conditions, including the consummation of the Harris Teeter merger, up to $850, and matures 364 days after closing.  The Company expects to fund the merger through a combination of cash on hand and the issuance of short-term and long-term debt.

 

18



 

Borrowings under the Bridge Loan Agreement would bear interest at the three-month LIBOR rate plus an applicable margin determined by the Company’s credit ratings, as determined by S&P and Moody’s.  The applicable margin will also increase by 25 basis points every 90 days after funding. The Company will also pay a funding fee to each lender equal to 0.5% of such lender’s loan advance on the closing date of the financing, and duration fees on any loan amounts still outstanding of 0.5%, 0.75% and 1.0% on each of the 90th, 180th and 270th day, respectively, following the closing of the Harris Teeter merger.  The Company also will pay an annual ticking fee of 0.15% of the amount the lenders have committed, regardless of whether any borrowings are made under the Bridge Loan Agreement.  The Bridge Loan Agreement contains covenants, which, among other things, require the maintenance of a leverage ratio of not greater than 3.50:1.00 and a fixed charge coverage ratio of not less than 1.70:1.00.  The covenants and representations and warranties in the Bridge Loan Agreement are substantially the same as those contained in the existing $2,000 unsecured revolving credit facility.

 

The Company may repay borrowings under the Bridge Loan Agreement in whole or in part at any time without premium or penalty.  The Bridge Loan Agreement is not guaranteed by the Company’s subsidiaries.

 

The pending merger is expected to close during the fourth quarter of fiscal year 2013, subject to Federal Trade Commission review and certain customary closing conditions.

 

19



 

Item 2.         Management’s Discussion and Analysis of Financial Condition and Results of Operations.

 

The following analysis should be read in conjunction with the Consolidated Financial Statements.

 

OVERVIEW

 

Third quarter 2013 total sales were $22.5 billion compared with $21.8 billion for the same period of 2012.  This increase was attributable to identical supermarket sales increases, a shift in the calendar and increased fuel gallon sales, offset partially by a decrease in the average retail fuel price.  Identical supermarket sales without fuel increased 3.5% in the third quarter of 2013, compared to the third quarter of 2012, primarily due to an increase in the number of households shopping with us, an increase in the average sale per customer and product cost inflation.  Every supermarket store department, excluding fuel, and every operating division had positive identical sales.  This marks positive identical supermarket sales growth for 40 consecutive quarters.  The 53rd week in 2012 caused a one week shift in the fiscal year calendar when comparing fiscal year 2013 to fiscal year 2012.  In the third quarter, the one week shift in the fiscal year calendar resulted in a high volume sales week being added to total sales for the third quarter of 2013 replacing a lower volume sales week in the third quarter of 2012.

 

Total sales for the first three quarters of 2013 were $75.3 billion compared to $72.6 billion for the same period of 2012.  This increase was attributable to identical supermarket sales increases and increased fuel gallon sales, offset partially by a decrease in the average retail fuel price.  Identical supermarket sales without fuel increased 3.4% in the first three quarters of 2013, compared to the same period in 2012, primarily due to an increase in the number of households shopping with us, an increase in the average sale per customer and product cost inflation.  Our Customer 1st strategy continues to deliver solid results.

 

For the third quarter of 2013, net earnings totaled $299 million, or $0.57 per diluted share, compared to $317 million, or $0.60 per diluted share for the same period of 2012.  The net earnings for the third quarter of 2013 include a net $23 million adjustment for benefits from certain tax items ($25 million), offset partially by an after-tax increase of $2 million ($1 million in interest and $1 million in operating, general and administrative expenses) in expenses related to our pending merger with Harris Teeter (“Third Quarter 2013 adjusted items”).  The net earnings for the third quarter of 2012 include a $74 million after-tax reduction of operating, general and administrative expenses resulting from a settlement with Visa and MasterCard and a reduction in our obligation to fund the UFCW consolidated pension fund created in January 2012 (“2012 adjusted items”).  Excluding the Third Quarter 2013 adjusted items, net earnings for third quarter 2013 totaled $276 million, or $0.53 per diluted share, compared to net earnings for the third quarter of 2012 of $243 million, or $0.46 per diluted share, which excludes the 2012 adjusted items.  We believe the adjusted net earnings per diluted share figure presents a more accurate quarter-over-quarter and year-over year comparison of our financial results because the adjusted items were not the result of our normal operations.  The increase in adjusted net earnings for the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from an increase in non-fuel First-In, First Out (“FIFO”) operating profit and an increase in net earnings from our fuel operations, offset partially by an increase in income tax expense.

 

For the first three quarters of 2013, net earnings totaled $1.1 billion, or $2.09 per diluted share, compared to $1.0 billion, or $1.89 per diluted share for the same period of 2012.  The net earnings for the first three quarters of 2013 include a net $14 million adjustment for benefits from certain tax items ($19 million), offset partially by the after-tax effect of $5 million (including $3 million in interest and $2 million in operating, general and administrative expenses) in expenses related to our pending merger with Harris Teeter (“2013 adjusted items”).  The 2013 adjusted items are less than the Third Quarter 2013 adjusted items due to an adjustment made during the third quarter of 2013 for certain tax items that relate to the expected tax rate for the full year of 2013, offset partially by the increase in the full year expenses related to the pending Harris Teeter merger.  Excluding these adjustments, net earnings for the first three quarters of 2013 totaled $1.1 billion, or $2.06 per diluted share, which excludes the 2013 adjusted items, compared to adjusted net earnings for the first three quarters of 2012 of $961 million, or $1.76 per diluted share, which excludes the 2012 adjusted items.  The increase in our adjusted net earnings for the first three quarters of 2013, compared to the same period in 2012, resulted primarily from an increase in non-fuel FIFO operating profit, a decrease in the Last-In, First-Out (“LIFO”) charge, an increase in net earnings from our fuel operations and a decrease in interest expense, offset partially by an increase in our effective tax rate.

 

Please refer to the “Outlook” section for information on our expectations for fiscal year 2013.

 

20



 

RESULTS OF OPERATIONS

 

Net Earnings

 

Net earnings totaled $299 million for the third quarter of 2013, a decrease of 5.7% from net earnings of $317 million for the third quarter of 2012.  Adjusted net earnings for the third quarter of 2013 totaled $276 million, excluding the Third Quarter adjusted items, an increase of 13.6% from adjusted net earnings of $243 million for the third quarter of 2012, excluding the 2012 adjusted items.  The increase in our adjusted net earnings for the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from an increase in non-fuel FIFO operating profit and an increase in net earnings from our fuel operations.  The increase in non-fuel FIFO operating profit for the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from increased supermarket sales and improvements to operating, general and administrative expenses, rent and depreciation, as a percentage of sales, offset partially by continued investments in lower prices for our customers and increased shrink, as a percentage of sales.  The increase in net earnings from our fuel operations for the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from an increase in the average margin per gallon of fuel sold and an increase in fuel gallons sold.

 

Net earnings totaled $1.1 billion for the first three quarters of 2013, an increase of 6.0% from net earnings of $1.0 billion for the first three quarters of 2012.  Adjusted net earnings for the first three quarters of 2013 totaled $1.1 billion, excluding the 2013 adjusted items, an increase of 12.7% from adjusted net earnings of $961 million for the first three quarters of 2012, excluding the 2012 adjusted items.  The increase in our adjusted net earnings for the first three quarters of 2013, compared to the same period in 2012, resulted primarily from an increase in non-fuel FIFO operating profit, a decrease in the LIFO charge, an increase in net earnings from our fuel operations and a decrease in interest expense, offset partially by an increase in our effective tax rate.  The increase in non-fuel operating profit for the first three quarters of 2013, compared to the same period in 2012, resulted primarily from the benefit of increased supermarket sales and improvements to operating, general and administrative expenses, rent and depreciation, as a percentage of sales, partially offset by continued investments in lower prices for our customers and increased shrink, as a percentage of sales.  The increase in net earnings from fuel operations for the first three quarters of 2013, compared to the first three quarters of 2012, resulted primarily from an increase in fuel gallons sold and an increase in average margin per gallon of fuel sold.

 

Net earnings of $0.57 per diluted share for the third quarter of 2013 represented a decrease of 5.0% over net earnings of $0.60 per diluted share for the third quarter of 2012.  Adjusted net earnings for the third quarter of 2013 of $0.53 per diluted share, excluding the Third Quarter 2013 adjusted items, represented an increase of 15.2% over adjusted net earnings of $0.46 per diluted share for the third quarter of 2012, excluding the 2012 adjusted items.  Adjusted net earnings per diluted share increased in the third quarter of 2013, compared to the third quarter of 2012, due to increased net earnings.

 

Net earnings of $2.09 per diluted share for the first three quarters of 2013 represented an increase of 10.6% over net earnings of $1.89 per diluted share for the first three quarters of 2012.  Adjusted net earnings for the first three quarters of 2013 of $2.06 per diluted share, excluding the 2013 adjusted items, represented an increase of 17.0% over adjusted net earnings of $1.76 per diluted share for the first three quarters of 2012, excluding the 2012 adjusted items.  Adjusted net earnings per diluted share increased in the first three quarters of 2013, compared to the first three quarters of 2012, due to increased net earnings and the repurchase of common shares over the past two years resulting in a lower weighted average number of shares outstanding.

 

Management believes adjusted net earnings (and adjusted net earnings per diluted share) are useful metrics to investors and analysts because they more accurately reflect our day-to-day business operations than do the generally accepted accounting principle (“GAAP”) measures of net earnings and net earnings per diluted share.  Adjusted net earnings (and adjusted net earnings per diluted share) are non-generally accepted accounting principle (“non-GAAP”) financial measures and should not be considered alternatives to net earnings (and net earnings per diluted share) or any other GAAP measure of performance.  Adjusted net earnings (and adjusted net earnings per diluted share) should not be reviewed in isolation or considered substitutes for our financial results as reported in accordance with GAAP.  Management uses adjusted net earnings (and adjusted net earnings per diluted share) in evaluating our results of operations as it believes these measures are more meaningful indicators of operating performance since, as adjusted, those earnings relate more directly to our day-to-day operations.  Management also uses adjusted earnings (and adjusted net earnings per diluted share) as a performance metric for management incentive programs, and to measure our progress against internal budgets and targets.

 

21



 

The following table provides a reconciliation of net earnings attributable to The Kroger Co. to net earnings attributable to The Kroger Co. excluding the adjusted items and a reconciliation of net earnings attributable to The Kroger Co. per diluted common share to net earnings attributable to The Kroger Co. per diluted common share excluding the adjusted items, for the third quarters and first three quarters of 2013 and 2012:

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9,
 2013

 

November 3, 
2012

 

November 9,
 2013

 

November 3,
 2012

 

Net earnings attributable to The Kroger Co.

 

$

299

 

$

317

 

$

1,097

 

$

1,035

 

Benefit from certain tax items offset by Harris Teeter merger expenses(1)

 

(23

)

 

(14

)

 

Adjustments for the UFCW consolidated pension plan liability and credit card settlement(1)(2) 

 

 

(74

)

 

(74

)

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. excluding the adjusted items above

 

$

276

 

$

243

 

$

1,083

 

$

961

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share

 

$

0.57

 

$

0.60

 

$

2.09

 

$

1.89

 

Benefit from certain tax items offset by Harris Teeter merger expenses(3)

 

(0.04

)

 

(0.03

)

 

Adjustments for the UFCW consolidated pension plan liability and credit card settlement(3) 

 

 

(0.14

)

 

(0.13

)

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share excluding the adjusted items above

 

$

0.53

 

$

0.46

 

$

2.06

 

$

1.76

 

 

 

 

 

 

 

 

 

 

 

Average number of common shares used in diluted calculation

 

521

 

522

 

521

 

543

 

 


(1)   The amounts presented represent the after-tax effect of each adjustment.

(2)   The pre-tax adjustments for the UFCW consolidated pension plan liability and credit card settlement were $115.

(3)   The amounts presented represent the net earnings per diluted common share effect of each adjustment.

 

Sales

 

Total Sales

(in millions)

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9, 
2013

 

Percentage
Increase 
(Decrease)

 

November 3,
2012

 

Percentage
Increase
(2)

 

November 9,
2013

 

Percentage
Increase

 

November 3,
2012

 

Percentage
Increase
(3)

 

Total supermarket sales without fuel

 

$

17,474

 

4.5

%

$

16,716

 

3.6

%

$

58,249

 

3.9

%

$

56,066

 

3.9

%

Fuel sales

 

4,404

 

(2.6

)%

4,520

 

15.2

%

14,936

 

2.0

%

14,643

 

10.7

%

Other sales(1) 

 

627

 

9.8

%

571

 

6.3

%

2,085

 

10.4

%

1,889

 

5.3

%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total sales 

 

$

22,505

 

3.2

%

$

21,807

 

5.9

%

$

75,270

 

3.7

%

$

72,598

 

5.3

%

 


(1)         Other sales primarily relate to sales by convenience stores, excluding fuel; jewelry stores; manufacturing plants to outside customers; variable interest entities; a specialty pharmacy; and in-store health clinics.

(2)   This column represents the percentage increase in the third quarter of 2012, compared to the third quarter of 2011.

(3)   This column represents the percentage increase in the first three quarters of 2012, compared to the first three quarters of 2011.

 

22



 

The increase in total sales for the third quarter of 2013, compared to the third quarter of 2012, was primarily the result of our identical supermarket sales increase, excluding fuel, of 3.5% and a shift in the calendar, offset partially by a decrease in fuel sales of 2.6%.  Identical supermarket sales, excluding fuel for the third quarter of 2013, compared to the third quarter of 2012, increased primarily due to an increase in the number of households shopping with us, an increase in the average sale per customer and product cost inflation.  Total fuel sales decreased 2.6% in the third quarter of 2013, compared to the third quarter of 2012, due to a decrease in the average retail fuel price of 8.3%, offset partially by an increase in fuel gallons sold of 6.3%.

 

The increase in total sales for the first three quarters of 2013, compared to the same period of 2012, was primarily the result of our identical supermarket sales increase, excluding fuel, of 3.4% and an increase of fuel sales of 2.0%.  Identical supermarket sales, excluding fuel for the first three quarters of 2013, compared to the first three quarters of 2012, increased primarily due to an increase in the number of households shopping with us, an increase in the average sale per customer and product cost inflation.  Fuel sales increased 2.0% in the first three quarters of 2013, compared to the same period of 2012, due to an increase in fuel gallons sold of 5.4%, partially offset by a decrease in the average retail fuel price of 3.2%.

 

We define a supermarket as identical when it has been in operation without expansion or relocation for five full quarters.  Although identical supermarket sales is a relatively standard term, numerous methods exist for calculating identical supermarket sales growth.  As a result, the method used by our management to calculate identical supermarket sales may differ from methods other companies use to calculate identical supermarket sales.  We urge you to understand the methods used by other companies to calculate identical supermarket sales before comparing our identical supermarket sales to those of other such companies.  Fuel discounts received at our fuel centers and earned based on in-store purchases are included in all of the identical supermarket sales results calculations illustrated below and reduce our identical supermarket sales results.  Differences between total supermarket sales and identical supermarket sales primarily relate to changes in supermarket square footage.  Identical supermarket sales include sales from all departments at identical Fred Meyer multi-department stores.  Our identical supermarket sales results are summarized in the table below.  We used the identical supermarket dollar figures presented below to calculate percentage changes for the third quarter and the first three quarters of 2013.

 

Identical Supermarket Sales

($ in millions)

 

 

 

Third Quarter

 

 

 

November 9,
2013

 

Percentage
Increase

 

November 3, 
2012

 

Percentage
Increase(1)

 

Including fuel centers

 

$

20,211

 

2.5

%

$

19,714

 

5.2

%

Excluding fuel centers

 

$

16,866

 

3.5

%

$

16,294

 

3.2

%

 


(1)         This column represents the percentage increase in identical supermarket sales in the third quarter of 2012, compared to the third quarter of 2011.

 

Identical Supermarket Sales

($ in millions)

 

 

 

Three Quarters Ended

 

 

 

November 9, 
2013

 

Percentage
Increase

 

November 3, 
2012

 

Percentage
Increase(1)

 

Including fuel centers

 

$

67,443

 

3.1

%

$

65,422

 

4.8

%

Excluding fuel centers

 

$

56,125

 

3.4

%

$

54,304

 

3.7

%

 


(1)         This column represents the percentage increase in identical supermarket sales in the first three quarters of 2012, compared to the first three quarters of 2011.

 

Gross Margin and FIFO Gross Margin

 

Our gross margin rate was 20.51% for the third quarter of 2013, as compared to 20.29% for the third quarter of 2012.  Our gross margin rate was 20.51% for the first three quarters of 2013, as compared to 20.44% for the first three quarters of 2012.  The increase in the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from a decrease in fuel sales and an increase in the average margin per gallon of fuel sold, offset partially by continued investments in lower prices for our customers and increased shrink as a percentage of sales.  The increase in the first three quarters of 2013, compared to the first three quarters of 2012, resulted primarily from an increase in the average margin per gallon of fuel sold, offset partially by continued investments in lower prices for our customers and increased shrink as a percentage of sales.  A decrease in retail fuel sales increases our gross margin rate due to the very low gross margin on retail fuel sales as compared to non-fuel sales.

 

23



 

We calculate FIFO gross margin as sales minus merchandise costs, including advertising, warehousing, and transportation expenses, but excluding the LIFO charge.  Our LIFO charge was $13 million for the third quarter of 2013 and $15 million for the third quarter of 2012, as discussed below.  Our LIFO charge was $42 million for the first three quarters of 2013 and $96 million for the first three quarters of 2012.  FIFO gross margin is a non-generally accepted accounting principle (“non-GAAP”) financial measure and should not be considered as an alternative to gross margin or any other generally accepted accounting principle (“GAAP”) measure of performance.  FIFO gross margin should not be reviewed in isolation or considered as a substitute for our financial results as reported in accordance with GAAP.  FIFO gross margin is an important measure used by management to evaluate merchandising and operational effectiveness.  Management believes FIFO gross margin is a useful metric to investors and analysts because it measures our day-to-day merchandising and operational effectiveness.

 

Our FIFO gross margin rate was 20.57% for the third quarter of 2013, as compared to 20.35% for the third quarter of 2012.  Retail fuel sales lower our FIFO gross margin rate due to the very low FIFO gross margin on retail fuel sales as compared to non-fuel sales.  Excluding the effect of retail fuel operations, our third quarter 2013 FIFO gross margin rate decreased 25 basis points, as a percentage of sales, compared to the third quarter of 2012.  This decrease in the third quarter of 2013, compared to the third quarter of 2012, was primarily from continued investments in lower prices for our customers and increased shrink as a percentage of sales.

 

Our FIFO gross margin rate was 20.57% for the first three quarters of 2013, as compared to 20.58% for the first three quarters of 2012.  Excluding the effect of retail fuel operations, as a percentage of sales, our FIFO gross margin rate decreased 17 basis points for the first three quarters of 2013, compared to the first three quarters of 2012.  This decrease in the first three quarters of 2013, compared to the first three quarters of 2012, resulted primarily from continued investments in lower prices for our customers and increased shrink as a percentage of sales.

 

LIFO Charge

 

The LIFO charge was $13 million in the third quarter of 2013 and $15 million in the third quarter of 2012.  The LIFO charge decreased in the third quarter of 2013, compared to the third quarter of 2012, due to our lower expected year-end product cost inflation in most major categories at the end of the third quarter of 2013 compared to the end of the third quarter of 2012.

 

The LIFO charge was $42 million in the first three quarters of 2013 and $96 million in the first three quarters of 2012.  The LIFO charge decreased in the first three quarters of 2013, compared to the first three quarters of 2012, primarily due to our lower expected year-end product cost inflation in most major categories at the end of third quarter of 2013 compared to the end of third quarter of 2012.

 

Operating, General and Administrative Expenses

 

Operating, general and administrative (“OG&A”) expenses consist primarily of employee-related costs such as wages, health care benefit costs and retirement plan costs, utilities, and credit card fees.  Rent expense, depreciation and amortization expense, and interest expense are not included in OG&A.

 

OG&A expenses, as a percentage of sales, increased 61 basis points to 15.77% for the third quarter of 2013 from 15.16% for the third quarter of 2012.  The OG&A rate increased primarily due to the decrease in fuel sales, offset partially by the benefit of increased supermarket sales, effective cost controls and productivity improvements.  A decrease in retail fuel sales increases our OG&A rate due to the very low OG&A rate, as a percentage of sales, of retail fuel sales compared to non-fuel sales.  OG&A expenses were affected in the third quarter of 2013 by Harris Teeter merger expenses (“OG&A Merger Expenses”).  The OG&A rate, excluding the OG&A Merger Expenses, increased eight basis points to 15.77% for the third quarter of 2013, from 15.69% for the third quarter of 2012, excluding the 2012 adjusted items.  Adjusted OG&A expenses, as a percentage of sales, excluding OG&A Merger Expenses and fuel, decreased 19 basis points in the third quarter of 2013, compared to the third quarter of 2012, excluding the 2012 adjusted items.  This decrease in our adjusted OG&A rate, as a percentage of sales excluding the effect of fuel, resulted primarily from increased supermarket sales, effective cost controls and productivity improvements.

 

24



 

OG&A expenses, as a percentage of sales, increased 13 basis points to 15.50% for the first three quarters of 2013 from 15.37% for the first three quarters of 2012.  Adjusted OG&A expense, as a percentage of sales, decreased four basis points to 15.49% for the first three quarters of 2013, excluding the OG&A Merger Expenses, from 15.53% for the first three quarters of 2012, excluding the 2012 adjusted items.  The reduction in adjusted OG&A rate resulted primarily from increased supermarket sales, effective cost controls and productivity improvements.  Adjusted OG&A expenses, as a percentage of sales excluding fuel, decreased 15 basis points in the first three quarters of 2013 compared to the first three quarters of 2012.  This decrease in our adjusted OG&A rate, as a percentage of sales excluding the effect of fuel, resulted primarily from increased supermarket sales, effective cost controls and productivity improvements.

 

Rent Expense

 

Rent expense was $138 million, or 0.61% of sales, for the third quarter of 2013, compared to $141 million, or 0.64% of sales, for the third quarter of 2012.  For the first three quarters of 2013, rent expense was $466 million, or 0.62% of sales, compared to $471 million, or 0.65% of sales, in the first three quarters of 2012.  Rent expense, as a percentage of sales excluding fuel, decreased five basis points in the third quarter of 2013 compared to the third quarter of 2012.  Rent expense, as a percentage of sales excluding fuel, decreased 4 basis points in the first three quarters of 2013 compared to the first three quarters of 2012.  These decreases in rent expense, as a percentage of sales both including and excluding fuel, primarily reflect our continued emphasis on owning rather than leasing, whenever possible, and the benefit of increased supermarket sales.

 

Depreciation Expense

 

Depreciation expense was $395 million, or 1.75% of total sales, for the third quarter of 2013 compared to $382 million, or 1.75% of total sales, for the third quarter of 2012.  The increase in depreciation expense, in total dollars, was the result of additional depreciation on capital investments, including acquisitions and lease buyouts of $2.5 billion, during the rolling four quarter period ending with the third quarter of 2013.  Excluding the effect of retail fuel operations, depreciation, as a percentage of sales, decreased three basis points in the third quarter of 2013, compared to the same period of 2012.

 

Depreciation expense was $1.3 billion, or 1.73% of total sales, for the first three quarters of 2013 compared to $1.3 billion or 1.74% of total sales, for the first three quarters of 2012.  The decrease in depreciation expense for the first three quarters of 2013, compared to the first three quarters of 2012, as a percentage of sales, was primarily due to the benefit of increased supermarket sales.  Excluding the effect of retail fuel operations, depreciation, as a percentage of sales, decreased three basis points in the first three quarters of 2013, compared to the same period of 2012.

 

Operating Profit and FIFO Operating Profit

 

Operating profit was $534 million, or 2.37% of sales, for the third quarter of 2013, compared to $596 million, or 2.73% of sales, for the third quarter of 2012.  Operating profit, as a percentage of sales, decreased 36 basis points in the third quarter of 2013, compared to the third quarter of 2012, primarily due to the 2012 adjusted items, continued investments in lower prices for our customers and increased shrink, as a percentage of sales, offset partially by increased supermarket identical sales, improvements in non-fuel operating, general and administrative expenses, rent and depreciation, as a percentage of sales, and an increase in fuel operating profit.  Operating profit was $2.0 billion, or 2.67% of sales, for the first three quarters of 2013, compared to $1.9 billion, or 2.68% of sales, for the first three quarters of 2012.  Operating profit, as a percentage of sales, decreased one basis point in the first three quarters of 2013, compared to the first three quarters of 2012, primarily due to the 2012 adjusted items, continued investments in lower prices for our customers and increased shrink, as a percentage of sales, offset partially by increased supermarket identical sales, improvements in non-fuel operating, general and administrative expenses, rent and depreciation, as a percentage of sales, a decrease in the LIFO charge and an increase in fuel operating profit.

 

We calculate FIFO operating profit as operating profit excluding the LIFO charge.  FIFO operating profit is a non-GAAP financial measure and should not be considered as an alternative to operating profit or any other GAAP measure of performance.  FIFO operating profit should not be reviewed in isolation or considered as a substitute for our financial results as reported in accordance with GAAP.  FIFO operating profit is an important measure used by management to evaluate merchandising and operational effectiveness.  Management believes FIFO operating profit is a useful metric to investors and analysts because it measures our day-to-day operational effectiveness. Since fuel discounts are earned based on in-store purchases, fuel operating profit does not include fuel discounts, which are allocated to our non-fuel supermarket departments.  We also derive operating, general and administrative expenses, rent and depreciation and amortization through the use of estimated allocations in the calculation of fuel operating profit.

 

25



 

FIFO operating profit was $547 million, or 2.43% of sales, for the third quarter of 2013, compared to $611 million, or 2.80% of sales, for the third quarter of 2012.  Retail fuel sales lower our FIFO operating profit rate due to the very low FIFO operating profit rate, as a percentage of sales, of retail fuel sales compared to non-fuel sales. Adjusted FIFO operating profit, excluding fuel, was $457 million or 2.52% of sales, for the third quarter of 2013, excluding the Third Quarter 2013 non-tax adjusted items, compared to $432 million, or 2.50% of sales, for the third quarter of 2012, excluding the 2012 adjusted items.   Adjusted FIFO operating profit, as a percentage of sales excluding fuel, increased two basis points in the third quarter of 2013, compared to the third quarter of 2012 primarily due to improvements in operating, general and administrative expenses, rent and depreciation, as a percentage of sales, offset partially by continued investments in lower prices for our customers and increased shrink as a percentage of sales.

 

FIFO operating profit was $2.0 billion, or 2.72% of sales, for the first three quarters of 2013, compared to $2.0 billion, or 2.81% of sales, for the first three quarters of 2012.  Adjusted FIFO operating profit, excluding fuel, was $1.9 billion, or 3.07% of sales, for the first three quarters of 2013, excluding the 2013 non-tax adjusted items, compared to $1.7 billion, or 3.01% of sales, for the first three quarters of 2012, excluding the 2012 adjusted items.  Adjusted FIFO operating profit, as a percentage of sales excluding fuel, increased six basis points in the first three quarters of 2013, compared to the first three quarters of 2012, primarily due to improvements in operating, general and administrative expenses, rent and depreciation, as a percentage of sales, offset by continued investments in lower prices for our customers and increased shrink as a percentage of sales.

 

The following table provides a reconciliation of operating profit to FIFO operating profit, FIFO operating profit, excluding fuel, and FIFO operating profit, excluding fuel and the non-tax adjusted items, for the third quarters and first three quarters of 2013 and 2012:

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9,
2013

 

2013 
Percentage 
of Sales

 

November 3,
2012

 

2012 
Percentage
of Sales

 

November 9,
2013

 

2013 
Percentage 
of Sales

 

November 3,
2012

 

2012 
Percentage 
of Sales

 

Sales

 

$

22,505

 

 

 

$

21,807

 

 

 

$

75,270

 

 

 

$

72,598

 

 

 

Fuel sales

 

4,404

 

 

 

4,520

 

 

 

14,936

 

 

 

14,643

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sales excluding fuel

 

$

18,101

 

 

 

$

17,287

 

 

 

$

60,334

 

 

 

$

57,955

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Operating profit

 

$

534

 

2.37

%

$

596

 

2.73

%

$

2,007

 

2.67

%

$

1,944

 

2.68

%

LIFO charge

 

13

 

0.06

%

15

 

0.07

%

42

 

0.06

%

96

 

0.13

%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

FIFO operating profit

 

547

 

2.43

%

611

 

2.80

%

2,049

 

2.72

%

2,040

 

2.81

%

Fuel operating profit

 

92

 

2.09

%

64

 

1.42

%

203

 

1.36

%

179

 

1.22

%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

FIFO operating profit excluding fuel

 

455

 

2.51

%

547

 

3.16

%

1,846

 

3.06

%

1,861

 

3.21

%

Non-tax Adjusted items

 

2

 

 

 

115

 

 

 

4

 

 

 

115

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

FIFO operating profit excluding fuel and adjusted items

 

$

457

 

2.52

%

$

432

 

2.50

%

$

1,850

 

3.07

%

$

1,746

 

3.01

%

 

Percentages may not sum due to rounding.

 

Interest Expense

 

Net interest expense was $108 million, or 0.48% of total sales, in the third quarter of 2013 and $103 million, or 0.47% of total sales, in the third quarter of 2012.  For the first three quarters of 2013, net interest expense was $336 million, or 0.45% of total sales, in 2013 and $350 million, or 0.48% of total sales, in the first three quarters of 2012.  The increase in net interest expense for the third quarter of 2013, compared to the third quarter of 2012, resulted primarily from a reduced benefit from interest rate swaps, expenses related to our pending merger with Harris Teeter and a higher weighted average interest rate, offset partially by a decrease in net total debt.  The decrease in net interest expense for the first three quarters of 2013, when compared to the same period of 2012, resulted primarily from a decrease in net total debt, offset partially by a reduced benefit from interest rate swaps and expenses related to our pending merger with Harris Teeter.

 

26



 

Income Taxes

 

The effective income tax rate was 29.3% for the third quarter of 2013 and 35.5% for the third quarter of 2012.  The effective income tax rate was 33.9% and 34.8% for the first three quarters of 2013 and 2012, respectively.  The effective income tax rates for the third quarter and first three quarters of 2013 differed from the federal statutory rate primarily due to the benefit of certain tax items, offset partially by the effect of state income taxes.  The effective tax rate for the third quarter of 2012 approximates the federal statutory rate.  The effective income tax rate for the first three quarters of 2012 differed from the federal statutory rate primarily due to the favorable resolution of certain tax issues, partially offset by the effect of state income taxes.

 

On September 13, 2013, the U.S. Department of the Treasury and Internal Revenue Service released final tangible property regulations that provide guidance on the tax treatment regarding the deduction and capitalization of expenditures related to tangible property.  The effective date to implement these regulations is for tax years beginning on or after January 1, 2014.  We are currently assessing these rules and the effect on our financial statements, and we believe the adoption of these regulations will not have an effect on net income and will not have a material effect -on the reclassification between long-term deferred tax liabilities and current income tax liabilities.

 

LIQUIDITY AND CAPITAL RESOURCES

 

Cash Flow Information

 

Net cash provided by operating activities

 

We generated $2.9 billion of cash from operating activities during the first three quarters of 2013, compared to $2.3 billion in the first three quarters of 2012.  The cash provided by operating activities came from net earnings including noncontrolling interests, adjusted for non-cash expenses and changes in working capital.  Changes in working capital provided cash from operating activities of $372 million in the first three quarters of 2013, compared to a use of cash from working capital of $270 million in the first three quarters of 2012.  The increase in cash provided by changes in working capital for the first three quarters of 2013, compared to the first three quarters of 2012, was primarily due to a decrease in store deposits in-transit and prepaid expenses.  Prepaid expenses decreased $250 million from year-end 2012 in the first three quarters of 2013, reflecting a decrease in the prepayment balance of some employee benefits at year end.

 

Net cash used by investing activities

 

We used $1.8 billion of cash for investing activities during the first three quarters of 2013 compared to $1.5 billion during the first three quarters of 2012.  The amount of cash used for investing activities increased in the first three quarters of 2013 versus 2012, primarily due to increased payments for capital investments.

 

Net cash used by financing activities

 

We used $993 million of cash for financing activities in the first three quarters of 2013 compared to $533 million in the first three quarters of 2012.  The increase in the amount of cash used for financing activities for the first three quarters of 2013, compared to the first three quarters of 2012, was primarily related to the increase in net payments on commercial paper, partially offset by a reduction in treasury stock purchases and payments on long-term debt and an increase in proceeds from the issuance of long-term debt.  Proceeds from the issuance of common shares resulted from exercises of employee stock options.

 

Debt Management

 

As of November 9, 2013, we maintained a $2 billion (with the ability to increase by $500 million) unsecured revolving credit facility that, unless extended, terminates on January 25, 2017.  Outstanding borrowings under the credit agreement and commercial paper borrowings, and some outstanding letters of credit, reduce funds available under the credit agreement.  In addition to the credit agreement, we maintained two uncommitted money market lines totaling $75 million in the aggregate.  The money market lines allow us to borrow from banks at mutually agreed upon rates, usually at rates below the rates offered under the credit agreement.  As of November 9, 2013, we had no borrowings under our credit agreement or money market lines.  As of November 9, 2013, we had $425 million of outstanding commercial paper.  The outstanding letters of credit that reduce funds available under our credit agreement totaled $13 million as of November 9, 2013.

 

27



 

Our bank credit facility and the indentures underlying our publicly issued debt contain various restrictive covenants.  As of November 9, 2013, we were in compliance with these financial covenants.  Furthermore, management believes it is not reasonably likely that Kroger will fail to comply with these financial covenants in the foreseeable future.

 

Total debt, including both the current and long-term portions of capital leases and lease-financing obligations, decreased $589 million to $8.3 billion as of the end of the third quarter of 2013, from $8.9 billion as of the end of the third quarter of 2012.  Total debt decreased $609 million as of the end of the third quarter of 2013, from $8.9 billion as of year-end 2012.  The decrease as of the end of the third quarter of 2013, compared to the end of the third quarter of 2012, resulted primarily from the reduction in borrowings under the credit facility and outstanding commercial paper in the last four quarters of $689 million.  The decrease as of the end of the third quarter of 2013, compared to year-end 2012, resulted primarily from the reduction in commercial paper of $1.2 billion and the payment of $400 million of senior notes bearing an interest rate of 5.0%, partially offset by the issuance of $600 million of senior notes bearing an interest rate of 3.85% and $400 million of senior notes bearing an interest rate of 5.15% in July of 2013 (“July debt issuance”).  The proceeds from the July debt issuance were primarily used for the payment of $400 million of senior notes bearing an interest rate of 5.0% and payment on a portion of the outstanding commercial paper in the first three quarters of 2013.  Additional payments on outstanding commercial paper were made using cash flow partially due to an increase in net cash provided by operating activities and not repurchasing as many common shares in the first three quarters of 2013, as we did in the first three quarters of 2012.  Long-term debt for the first three quarters of 2013, compared to year-end 2012, increased by $1 billion due to the July debt issuance.  The current portion of long term debt for the first three quarters of 2013, compared to year-end 2012, decreased due to the reduction in commercial paper of $1.2 billion and the payment of $400 million of senior notes bearing an interest rate of 5.0%.

 

Over the next 12 months, we anticipate refinancing approximately $600 million of debt maturing in the fourth quarter of fiscal year 2013, excluding any financing related to the pending Harris Teeter merger.  We currently have $250 million notional amount of forward starting interest rate swaps to effectively hedge the changes in future benchmark interest rates on a portion of our expected issuances of fixed rate debt.

 

Common Share Repurchase Program

 

During the third quarter of 2013, we invested $148 million to repurchase 3.6 million Kroger common shares at an average price of $41.25 per share.  For the first three quarters of 2013, we invested $384 million to repurchase 10.4 million Kroger common shares at an average price of $36.78 per share.  These shares were reacquired under two separate share repurchase programs.  The first is a $500 million repurchase program that was authorized by Kroger’s Board of Directors on October 16, 2012.  The second is a program that uses the cash proceeds from the exercises of stock options by participants in Kroger’s stock option and long-term incentive plans as well as the associated tax benefits.

 

Liquidity Needs

 

We estimate our liquidity needs over the next twelve-month period to be approximately $3.8 billion, excluding the potential merger with Harris Teeter Supermarkets, Inc.  The estimated liquidity needs over the next twelve months of $3.8 billion includes anticipated requirements for working capital, capital investments, interest payments and scheduled principal payments of debt, offset by cash and temporary cash investments on hand at the end of the third quarter of 2013.  Based on current operating trends, we believe that cash flows from operating activities and other sources of liquidity, including borrowings under our commercial paper program and bank credit facility, will be adequate to meet our liquidity needs for the next twelve months and for the foreseeable future beyond the next twelve months.  We have approximately $600 million of debt maturing in the next twelve months, which is included in the $3.8 billion in estimated liquidity needs.  Based on the current market environment, we expect to refinance this debt on favorable terms.  We believe we have adequate coverage of our debt covenants to continue to maintain our current debt ratings and to respond effectively to competitive conditions.

 

During the second quarter of 2013, we entered into a bridge loan facility to provide additional funds, if necessary, for our merger with Harris Teeter Supermarkets, Inc.  We expect to fund the merger through a combination of cash on hand and the issuance of short-term and long-term debt.

 

28



 

CAPITAL INVESTMENTS

 

Capital investments, excluding the purchase of leased facilities, totaled $641 million for the third quarter of 2013 compared to $474 million for the third quarter of 2012.  Capital investments, excluding acquisitions and the purchase of leased facilities, totaled $1.8 billion in the first three quarters of 2013 and $1.5 billion in the first three quarters of 2012.  During the third quarter of 2013, capital investments for the purchase of leased facilities totaled $89 million compared to $6 million for the third quarter of 2012.  During the first three quarters of 2013, capital expenditures for the purchase of leased facilities totaled $108 million compared to $24 million for the first three quarters of 2012.  During the third quarter of 2013, we opened, acquired, expanded or relocated 13 food stores and also completed 71 minor and major within-the-wall remodels.  During the first three quarters of 2013, we opened, acquired, expanded or relocated 32 food stores and also completed 132 minor and major within-the-wall remodels.  Total food store square footage at the end of the third quarter of 2013 increased 0.4% from the end of the third quarter of 2012.  Excluding acquisitions and operational closings, total food store square footage at the end of the third quarter of 2013 increased 1.3% over the end of the third quarter of 2012.

 

RETURN ON INVESTED CAPITAL

 

We calculate return on invested capital (“ROIC”) by dividing adjusted operating profit for the prior four quarters by the average invested capital.  Adjusted operating profit is calculated by excluding certain items included in operating profit, and adding back our LIFO charge, depreciation and amortization and rent.  Average invested capital is calculated as the sum of (i) the average of our total assets, (ii) the average LIFO reserve, (iii) the average accumulated depreciation and amortization and (iv) a rent factor equal to total rent for the last four quarters multiplied by a factor of eight; minus (i) the average taxes receivable, (ii) the average trade accounts payable, (iii) the average accrued salaries and wages and (iv) the average other current liabilities.  Averages are calculated for return on invested capital by adding the beginning balance of the first quarter and the ending balance of the fourth quarter, of the last four quarters, and dividing by two.  We use a factor of eight for our total rent as we believe this is a common factor used by our investors, analysts and rating agencies.  ROIC is a non-GAAP financial measure of performance.  ROIC should not be reviewed in isolation or considered as a substitute for our financial results as reported in accordance with GAAP.  ROIC is an important measure used by management to evaluate our investment returns on capital.  Management believes ROIC is a useful metric to investors and analysts because it measures how effectively we are deploying our assets.  All items included in the calculation of ROIC are GAAP measures, excluding certain adjustments to operating income.

 

Although ROIC is a relatively standard financial term, numerous methods exist for calculating a company’s ROIC.  As a result, the method used by our management to calculate ROIC may differ from methods other companies use to calculate their ROIC.  We urge you to understand the methods used by other companies to calculate their ROIC before comparing our ROIC to that of such other companies.

 

29



 

The following table provides a calculation of ROIC for the rolling four quarters on a 52 week basis ended November 9, 2013 and November 3, 2012 ($ in millions):

 

 

 

Rolling Four Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Return on Invested Capital

 

 

 

 

 

Numerator

 

 

 

 

 

Operating profit

 

$

2,826

 

$

1,518

 

53rd week operating profit adjustment

 

(99

)

 

LIFO charge

 

1

 

170

 

Depreciation

 

1,687

 

1,658

 

Rent

 

623

 

614

 

53rd week rent adjustment

 

(12

)

 

UFCW pension plan consolidation charge

 

 

953

 

Adjustments for the UFCW consolidated pension plan liability and credit card settlement

 

 

(115

)

Other

 

4

 

 

Adjusted operating profit

 

$

5,030

 

$

4,798

 

 

 

 

 

 

 

Denominator

 

 

 

 

 

Average total assets

 

$

25,057

 

$

24,286

 

Average taxes receivable(1)

 

 

(26

)

Average LIFO reserve

 

1,140

 

1,054

 

Average accumulated depreciation(2) 

 

14,812

 

13,852

 

Average trade accounts payable

 

(4,862

)

(4,693

)

Average accrued salaries and wages

 

(998

)

(977

)

Average other current liabilities(3)

 

(2,567

)

(2,436

)

Rent x 8

 

4,888

 

4,912

 

Average invested capital

 

$

37,470

 

$

35,972

 

Return on Invested Capital

 

13.42

%

13.34

%

 


(1)         As of November 9, 2013, November 3, 2012 and November 5, 2011, taxes receivable were $0, $0 and $53, respectively.

(2)         As of November 9, 2013, November 3, 2012 and November 5, 2011, accumulated depreciation was $15,310, $14,314 and $13,390, respectively.

(3)         As of November 9, 2013, November 3, 2012 and November 5, 2011, other current liabilities included accrued income taxes of $136, $77 and $0, respectively.  Accrued income taxes are removed from other current liabilities in the calculation of average invested capital.

 

30



 

CRITICAL ACCOUNTING POLICIES

 

We have chosen accounting policies that we believe are appropriate to report accurately and fairly our operating results and financial position, and we apply those accounting policies in a consistent manner.  Except as noted below, our critical accounting policies are summarized in our Annual Report on Form 10-K for the fiscal year ended February 2, 2013.

 

The preparation of financial statements in conformity with generally accepted accounting principles requires us to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues and expenses, and related disclosures of contingent assets and liabilities. We base our estimates on historical experience and other factors we believe to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results could vary from those estimates.

 

RECENTLY ADOPTED ACCOUNTING STANDARDS

 

In February 2013, the FASB amended its standards on comprehensive income by requiring disclosure of information about amounts reclassified out of accumulated other comprehensive income (“AOCI”) by component.  Specifically, the amendment requires disclosure of the effect of significant reclassifications out of AOCI on the respective line items in net income in which the item was reclassified if the amount being reclassified is required to be reclassified to net income in its entirety in the same reporting period.  It requires cross reference to other disclosures that provide additional detail for amounts that are not required to be reclassified in their entirety in the same reporting period.  This new disclosure became effective for us beginning February 3, 2013, and is being adopted prospectively in accordance with the standard.  See Note 11 to the Company’s Consolidated Financial Statements for the company’s new disclosures related to this amended standard.

 

In December 2011, the FASB amended its standards related to offsetting assets and liabilities.  This amendment requires entities to disclose both gross and net information about certain instruments and transactions eligible for offset in the statement of financial position and certain instruments and transactions subject to an agreement similar to a master netting agreement.  This information is intended to enable users of the financial statements to understand the effect of these arrangements on our financial position.  The new rules became effective for us on February 3, 2013.  In January 2013, the FASB further amended this standard to limit its scope to derivatives, repurchase and reverse repurchase agreements, securities borrowings and lending transactions.  See Note 9 to the Company’s Consolidated Financial Statements for the Company’s new disclosures related to this amended standard.

 

RECENTLY ISSUED ACCOUNTING STANDARDS

 

In July 2013, the FASB amended Accounting Standards Codification (“ASC”) 740, “Income Taxes.”. The amendments provide guidance on the financial statement presentation of an unrecognized tax benefit, as either a reduction of a deferred tax asset or as a liability, when a net operating loss carryforward, similar tax loss, or a tax credit carryforward exists. The amendments will be effective for interim and annual periods beginning after December 15, 2013 and may be applied on a retrospective basis.  Early adoption is permitted. We do not expect the adoption of these amendments to have a significant effect on our consolidated financial position or results of operations.

 

31



 

OUTLOOK

 

This discussion and analysis contains certain forward-looking statements about Kroger’s future performance, excluding the potential merger with Harris Teeter Supermarkets, Inc.  These statements are based on management’s assumptions and beliefs in light of the information currently available.  Such statements are indicated by words such as “comfortable,” “committed,” “will,” “expect,” “goal,” “should,” “intend,” “target,” “believe,” “anticipate,” “plan,” and similar words or phrases. These forward-looking statements are subject to uncertainties and other factors that could cause actual results to differ materially.

 

Statements elsewhere in this report and below regarding our expectations, projections, beliefs, intentions or strategies are forward-looking statements within the meaning of Section 21E of the Securities Exchange Act of 1934.  While we believe that the statements are accurate, uncertainties about the general economy, our labor relations, our ability to execute our plans on a timely basis and other uncertainties described below could cause actual results to differ materially.

 

·                           We expect net earnings per diluted share in the range of $2.73-$2.80 for fiscal year 2013, excluding certain tax items and the effect of the pending Harris Teeter merger.

 

·                           Looking forward to 2014, we expect net earnings per diluted share growth of 8 - 11%, excluding the effect of the pending Harris Teeter merger and tax items, which is consistent with our long-term growth strategy.

 

·                           We expect identical supermarket sales growth, excluding fuel sales, of 3.0%-3.5% for the fourth quarter of 2013.

 

·                           We expect FIFO non-fuel operating margin for 2013 to expand slightly compared to 2012, excluding the 53rd week in fiscal 2012 and the 2012 and 2013 adjusted items.

 

·                           For 2013, we expect our annualized LIFO charge to be approximately $55 million.

 

·                           For 2013, we expect interest expense to be approximately $430 million.

 

·                           We plan to use cash flow primarily for capital investments, to maintain our current debt coverage ratios, to pay cash dividends, and to repurchase stock.

 

·                           We expect to obtain sales growth from new square footage, as well as from increased productivity from existing locations.

 

·                           We expect capital investments for 2013 to increase to approximately $2.4 billion, excluding mergers, acquisitions and purchases of leased facilities.  We also expect capital investments to increase incrementally $200 million each year over the next few years, excluding mergers, acquisitions and purchases of leased facilities, to accomplish our strategy.  We expect total food store square footage for 2013 to grow approximately 1.5% before mergers, acquisitions and operational closings.

 

·                           We expect that our effective tax rate for the fourth quarter of 2013 will be approximately 35.5%, excluding the effect of the resolution of any tax issues and benefits from certain tax items.

 

·                           We do not anticipate goodwill impairments in 2013.

 

Various uncertainties and other factors could cause actual results to differ materially from those contained in the forward-looking statements. These include the specific risk factors identified in the Annual Report on Form 10-K for the fiscal year ended February 2, 2013 and any subsequent filings, as well as the following:

 

·                           The extent to which our sources of liquidity are sufficient to meet our requirements may be affected by the state of the financial markets and the effect that such condition has on our ability to issue commercial paper at acceptable rates.  Our ability to borrow under our committed lines of credit, including our bank credit facilities, could be impaired if one or more of our lenders under those lines is unwilling or unable to honor its contractual obligation to lend to us, or in the event that natural disasters or weather conditions interfere with the ability of our lenders to lend to us.  Our ability to refinance maturing debt may be affected by the state of the financial markets.

 

32



 

·                           Our ability to use cash flow to continue to maintain our investment grade debt rating and repurchase shares, pay dividends and fund capital investments, could be affected by unanticipated increases in net total debt, our inability to generate cash flow at the levels anticipated, and our failure to generate expected earnings.

 

·                           Our ability to achieve sales, earnings and cash flow goals may be affected by: labor negotiations or disputes; changes in the types and numbers of businesses that compete with us; pricing and promotional activities of existing and new competitors, including non-traditional competitors, and the aggressiveness of that competition; our response to these actions; the state of the economy, including interest rates, the inflationary and deflationary trends in certain commodities, and the unemployment rate; the effect that fuel costs have on consumer spending; changes in government-funded benefit programs; manufacturing commodity costs; diesel fuel costs related to our logistics operations; trends in consumer spending; the extent to which our customers exercise caution in their purchasing in response to economic conditions; the inconsistent pace of the economic recovery; changes in inflation or deflation in product and operating costs; stock repurchases; the effect of brand prescription drugs going off patent; our ability to retain additional pharmacy sales from third party payors; natural disasters or adverse weather conditions; and the success of our future growth plans.  The extent to which the adjustments we are making to our strategy create value for our shareholders will depend primarily on the reaction of our customers and our competitors to these adjustments, as well as operating conditions, including inflation or deflation, increased competitive activity, and cautious spending behavior of our customers.  Our ability to achieve sales and earnings goals may also be affected by our ability to manage the factors identified above.

 

·                           During the first three quarters of the year, our LIFO charge and the recognition of LIFO expense will be affected primarily by estimated year-end changes in product costs.  Our LIFO charge for the year will be affected primarily by changes in product costs at year-end.

 

·                           If actual results differ significantly from anticipated future results for certain reporting units including variable interest entities, an impairment loss for any excess of the carrying value of the reporting units’ goodwill over the implied fair value would have to be recognized.

 

·                           Our effective tax rate may differ from the expected rate due to changes in laws, the status of pending items with various taxing authorities, and the deductibility of certain expenses.

 

·                           The actual amount of automatic and matching cash contributions to our 401(k) Retirement Savings Account Plan will depend on the number of participants, savings rate, compensation as defined by the plan, and length of service of participants.

 

·                           Changes in our product mix may negatively affect certain financial indicators. For example, we continue to add supermarket fuel centers to our store base. Since gasoline generates low profit margins, we expect to see our FIFO gross profit margins decline as gasoline sales increase.

 

We cannot fully foresee the effects of changes in economic conditions on Kroger’s business. We have assumed economic and competitive situations will not change significantly during the remainder of 2013.

 

Other factors and assumptions not identified above could also cause actual results to differ materially from those set forth in the forward-looking information. Accordingly, actual events and results may vary significantly from those included in, contemplated or implied by forward-looking statements made by us or our representatives.  We undertake no obligation to update the forward-looking information contained in this filing.

 

33



 

Item 3.         Quantitative and Qualitative Disclosures About Market Risk.

 

There have been no material changes in our exposure to market risk from the information provided in Item 7A. Quantitative and Qualitative Disclosures About Market Risk in our Annual Report on Form 10-K for the fiscal year ended February 2, 2013.

 

Item 4.         Controls and Procedures.

 

The Chief Executive Officer and the Chief Financial Officer, together with a disclosure review committee appointed by the Chief Executive Officer, evaluated Kroger’s disclosure controls and procedures as of the quarter ended November 9, 2013, the end of the period covered by this report.  Based on that evaluation, Kroger’s Chief Executive Officer and Chief Financial Officer concluded that Kroger’s disclosure controls and procedures (as defined in Rules 13a-15(e) and 15(d)-15(e) of the Exchange Act) were effective as of the end of the period covered by this report to provide reasonable assurance that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including the Chief Executive Officer and Chief Financial Officer, as appropriate, to allow timely decisions regarding required disclosure.

 

In connection with the evaluation described above, there was no change in Kroger’s internal control over financial reporting during the quarter ended November 9, 2013, that has materially affected, or is reasonably likely to materially affect, Kroger’s internal control over financial reporting.

 

34



 

PART II - OTHER INFORMATION

 

Item 1.         Legal Proceedings.

 

Various claims and lawsuits arising in the normal course of business, including suits charging violations of certain antitrust, wage and hour, or civil rights laws, as well as product liability cases, are pending against the Company.  Some of these suits purport or have been determined to be class actions and/or seek substantial damages. Any damages that may be awarded in antitrust cases will be automatically trebled. Although it is not possible at this time to evaluate the merits of all of these claims and lawsuits, nor their likelihood of success, the Company is of the belief that any resulting liability will not have a material adverse effect on the Company’s financial position, results of operations, or cash flows.

 

The Company continually evaluates its exposure to loss contingencies arising from pending or threatened litigation and believes it has made provisions where it is reasonably possible to estimate and where an adverse outcome is probable.  Nonetheless, assessing and predicting the outcomes of these matters involve substantial uncertainties. It remains possible that despite management’s current belief, material differences in actual outcomes or changes in management’s evaluation or predictions could arise that could have a material adverse impact on the Company’s financial condition, results of operations, or cash flows.

 

35



 

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds.

 

(c)

 

 

ISSUER PURCHASES OF EQUITY SECURITIES

 

Period(1)

 

Total Number 
of Shares 
Purchased

 

Average 
Price Paid Per 
Share

 

Total Number of 
Shares Purchased 
as Part of Publicly 
Announced Plans 
or Programs(2)

 

Maximum 
Dollar Value of 
Shares that May 
Yet Be 
Purchased 
Under the Plans 
or Programs(3) 
(in millions)

 

First four weeks

 

 

 

 

 

 

 

 

 

August 18, 2013 to September 14, 2013

 

157,300

 

$

37.65

 

157,300

 

$

446

 

Second four weeks

 

 

 

 

 

 

 

 

 

September 15, 2013 to October 12, 2013

 

1,639,827

 

$

40.47

 

1,639,827

 

$

446

 

Third four weeks

 

 

 

 

 

 

 

 

 

October 13, 2013 to November 9, 2013

 

1,805,776

 

$

42.24

 

1,805,776

 

$

405

 

Total 

 

3,602,903

 

$

41.23

 

3,602,903

 

$

341

 

 


(1)         The reported periods conform to the Company’s fiscal calendar composed of thirteen 28-day periods. The third quarter of 2013 contained three 28-day periods.

 

(2)         Shares were repurchased under (i) a $500 million share repurchase program, authorized by the Board of Directors and announced on October 16, 2012 and (ii) a program announced on December 6, 1999 to repurchase common shares to reduce dilution resulting from our employee stock option and long-term incentive plans, which program is limited to proceeds received from exercises of stock options and the tax benefits associated therewith.  The programs have no expiration date but may be terminated by the Board of Directors at any time.  Total shares purchased include shares that were surrendered to the Company by participants under the Company’s long-term incentive plans to pay for taxes on restricted stock awards.

 

(3)         The amounts shown in this column reflect amounts remaining under the $500 million share repurchase program referenced in clause (i) of Note 2 above.  Amounts to be invested under the program utilizing option exercise proceeds are dependent upon option exercise activity.

 

36



 

Item 6. Exhibits.

 

EXHIBIT 3.1

 

-

 

Amended Articles of Incorporation are hereby incorporated by reference to Exhibit 3.1 of the Company’s Quarterly Report on Form 10-Q for the quarter ended May 22, 2010.

 

 

 

 

 

EXHIBIT 3.2

 

-

 

The Company’s regulations are hereby incorporated by reference to Exhibit 3.2 of the Company’s Quarterly Report on Form 10-Q for the quarter ended May 26, 2007.

 

 

 

 

 

EXHIBIT 4.1

 

-

 

Instruments defining the rights of holders of long-term debt of the Company and its subsidiaries are not filed as Exhibits because the amount of debt under each instrument is less than 10% of the consolidated assets of the Company. The Company undertakes to file these instruments with the Commission upon request.

 

 

 

 

 

EXHIBIT 31.1

 

-

 

Rule 13a—14(a) / 15d—14(a) Certifications — Chief Executive Officer.

 

 

 

 

 

EXHIBIT 31.2

 

-

 

Rule 13a—14(a) / 15d—14(a) Certifications — Chief Financial Officer.

 

 

 

 

 

EXHIBIT 32.1

 

-

 

Section 1350 Certifications.

 

 

 

 

 

EXHIBIT 99.1

 

-

 

Additional Exhibits — Statement of Computation of Ratio of Earnings to Fixed Charges.

 

 

 

 

 

EXHIBIT 101.INS

 

-

 

XBRL Instance Document.

 

 

 

 

 

EXHIBIT 101.SCH

 

-

 

XBRL Taxonomy Extension Schema Document.

 

 

 

 

 

EXHIBIT 101.CAL

 

-

 

XBRL Taxonomy Extension Calculation Linkbase Document.

 

 

 

 

 

EXHIBIT 101.DEF

 

-

 

XBRL Taxonomy Extension Definition Linkbase Document.

 

 

 

 

 

EXHIBIT 101.LAB

 

-

 

XBRL Taxonomy Extension Label Linkbase Document.

 

 

 

 

 

EXHIBIT 101.PRE

 

-

 

XBRL Taxonomy Extension Presentation Linkbase Document.

 

37



 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

THE KROGER CO.

 

 

Dated:  December 13, 2013

By:

/s/ David B. Dillon

 

 

David B. Dillon

 

 

Chairman of the Board and Chief Executive Officer

 

 

 

Dated:  December 13, 2013

By:

/s/ J. Michael Schlotman

 

 

J. Michael Schlotman

 

 

Senior Vice President and Chief Financial Officer

 

38



 

Exhibit Index

 

Exhibit 3.1 -

 

Amended Articles of Incorporation are hereby incorporated by reference to Exhibit 3.1 of the Company’s Quarterly Report on Form 10-Q for the quarter ended May 22, 2010, filed with the SEC on June 28, 2010.

 

 

 

Exhibit 3.2 -

 

The Company’s regulations are hereby incorporated by reference to Exhibit 3.2 of the Company’s Quarterly Report on Form 10-Q for the quarter ended May 26, 2007, filed with the SEC on July 3, 2007.

 

 

 

Exhibit 4.1 -

 

Instruments defining the rights of holders of long-term debt of the Company and its subsidiaries are not filed as Exhibits because the amount of debt under each instrument is less than 10% of the consolidated assets of the Company. The Company undertakes to file these instruments with the Commission upon request.

 

 

 

Exhibit 31.1 -

 

Rule 13a—14(a) / 15d—14(a) Certifications — Chief Executive Officer.

 

 

 

Exhibit 31.2 -

 

Rule 13a—14(a) / 15d—14(a) Certifications — Chief Financial Officer.

 

 

 

Exhibit 32.1 -

 

Section 1350 Certifications.

 

 

 

Exhibit 99.1 -

 

Additional Exhibits - Statement of Computation of Ratio of Earnings to Fixed Charges.

 

 

 

EXHIBIT 101.INS -

 

XBRL Instance Document.

 

 

 

EXHIBIT 101.SCH -

 

XBRL Taxonomy Extension Schema Document.

 

 

 

EXHIBIT 101.CAL -

 

XBRL Taxonomy Extension Calculation Linkbase Document.

 

 

 

EXHIBIT 101.DEF -

 

XBRL Taxonomy Extension Definition Linkbase Document.

 

 

 

EXHIBIT 101.LAB -

 

XBRL Taxonomy Extension Label Linkbase Document.

 

 

 

EXHIBIT 101.PRE -

 

XBRL Taxonomy Extension Presentation Linkbase Document.

 

39


EX-31.1 2 a13-21605_1ex31d1.htm EX-31.1

EXHIBIT 31.1

 

I, David B. Dillon, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of The Kroger Co.;

 

2.              Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.              Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.              The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.              The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: December 13, 2013

 

 

/s/ David B. Dillon

 

David B. Dillon

 

Chairman of the Board and

 

Chief Executive Officer

 

(principal executive officer)

 

1


EX-31.2 3 a13-21605_1ex31d2.htm EX-31.2

EXHIBIT 31.2

 

I, J. Michael Schlotman, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of The Kroger Co.;

 

2.              Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.              Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.              The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.              The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:  December 13, 2013

 

 

/s/ J. Michael Schlotman

 

J. Michael Schlotman

 

Senior Vice President and

 

Chief Financial Officer

 

(principal financial officer)

 

1


EX-32.1 4 a13-21605_1ex32d1.htm EX-32.1

EXHIBIT 32.1

 

NOTE: The referenced officers, based on their knowledge, furnish the following certification, pursuant to 18 U.S.C. §1350.

 

We, David B. Dillon, Chief Executive Officer and Chairman of the Board, and J. Michael Schlotman, Senior Vice President and Chief Financial Officer, of The Kroger Co. (the “Company”), do hereby certify in accordance with 18 U.S.C. §1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.         The Quarterly Report on Form 10-Q of the Company for the period ended November 9, 2013 (the “Periodic Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934 (15 U.S.C. §78m or 78o(d)); and

 

2.         The information contained in the Periodic Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Dated: December 13, 2013

 

/s/ David B. Dillon

 

 

David B. Dillon

 

 

Chairman of the Board and Chief Executive Officer

 

 

 

 

 

/s/ J. Michael Schlotman

 

 

J. Michael Schlotman

 

 

Senior Vice President and Chief Financial Officer

 

A signed original of this written statement as required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to The Kroger Co., and will be retained by The Kroger Co. and furnished to the SEC or its staff upon request.

 

1


EX-99.1 5 a13-21605_1ex99d1.htm EX-99.1

EXHIBIT 99.1

 

Schedule of computation of ratio of earnings to fixed charges of The Kroger Co. and consolidated subsidiary companies for the five fiscal years ended February 2, 2013 and for the three quarters ended November 9, 2013 and November 3, 2012.

 

 

 

November 9,

 

November 3,

 

February 2,

 

January 28,

 

January 29,

 

January 30,

 

January31,

 

 

 

2013

 

2012

 

2013

 

2012

 

2011

 

2010

 

2009

 

 

 

(40 weeks)

 

(40 weeks)

 

(53 weeks)

 

(52 weeks)

 

(52 weeks)

 

(52 weeks)

 

(52 weeks)

 

 

 

(in millions of dollars)

 

Earnings: 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Earnings before income tax expense

 

$

1,671

 

$

1,594

 

$

2,302

 

$

843

 

$

1,734

 

$

589

 

$

1,967

 

Fixed charges 

 

605

 

621

 

823

 

794

 

826

 

881

 

872

 

Capitalized interest 

 

(4

)

(3

)

(3

)

(6

)

(7

)

(10

)

(11

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Pre-tax earnings before fixed charges 

 

$

2,272

 

$

2,212

 

$

3,122

 

$

1,631

 

$

2,553

 

$

1,460

 

$

2,828

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Fixed charges: 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Interest 

 

$

340

 

$

352

 

$

465

 

$

441

 

$

455

 

$

512

 

$

496

 

Portion of rental payments deemed to be interest 

 

265

 

269

 

358

 

353

 

371

 

369

 

376

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total fixed charges 

 

$

605

 

$

621

 

$

823

 

$

794

 

$

826

 

$

881

 

$

872

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Ratio of earnings to fixed charges 

 

3.8

 

3.6

 

3.8

 

2.1

 

3.1

 

1.7

 

3.2

 

 

1


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The February&#160;2, 2013 balance sheet was derived from audited financial statements and, due to its summary nature, does not include all disclosures required by generally accepted accounting principles (&#8220;GAAP&#8221;).&#160; Significant intercompany transactions and balances have been eliminated.&#160; References to the &#8220;Company&#8221; in these Consolidated Financial Statements mean the consolidated company.</font></p> <p style="TEXT-INDENT: 0.25in; MARGIN: 0in 0in 0pt;">&#160;</p> <p style="TEXT-INDENT: 0.25in; MARGIN: 0in 0in 0pt;"><font style="FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt;" size="2">In the opinion of management, the accompanying unaudited Consolidated Financial Statements include all normal, recurring adjustments that are necessary for a fair presentation of results of operations for such periods but should not be considered as indicative of results for a full year.&#160; The financial statements have been prepared by the Company pursuant to the rules&#160;and regulations of the Securities and Exchange Commission (&#8220;SEC&#8221;).&#160; 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Debt Instrument, Funding Fee on Loan Advance on Closing Date of Financing Percentage of funding fee paid to each lender of such lender's loan advance on the closing date of the financing The funding fee to each lender, expressed as a percentage of such lender's loan advance, on the closing date of the financing. Debt Instrument, Duration Fee Percentage on Loan Outstanding on 90th Day Duration fees on loan amounts outstanding on 90th day following the closing (as a percent) Represents the duration fee on any loan amounts outstanding on the 90th day following the closing of the merger, expressed as a percentage of the debt instrument. Debt Instrument, Duration Fee Percentage on Loan Outstanding on 180th Day Duration fees on loan amounts outstanding on 180th day following the closing (as a percent) Represents the duration fee on any loan amounts outstanding on the 180th day following the closing of the merger, expressed as a percentage of the debt instrument. Debt Instrument, Duration Fee Percentage on Loan Outstanding on 270th Day Duration fees on loan amounts outstanding on 270th day following the closing (as a percent) Represents the duration fee on any loan amounts outstanding on the 270th day following the closing of the merger, expressed as a percentage of the debt instrument. Represents unamortized proceeds from discontinued fair value hedges and the fair value, as of the balance sheet date, of all derivatives designated as interest rate fair value hedging instruments. Adjustment Related to Fair Value Interest Rate Hedges Adjustment to reflect fair-value interest rate hedges Amount Recognized in Net Periodic Cost and Other Comprehensive Income Total recognized in net periodic benefit cost and other comprehensive income This element represents the aggregate amount recognized in net periodic benefit cost and other comprehensive income. BD of Trustees of UNTD Food and Commercial [Member] BD of Trustees of UNTD Food and Commercial Represents the multi employer pension fund of BD of Trustees of UNTD Food and Commercial. Bakery and Confectionary Union & Industry International Pension Fund Represents the multi employer pension fund of Bakery and Confectionary Union & Industry International Pension Fund. Bakery and Confectionary Union and Industry International Pension Fund [Member] Basis of Presentation and Principles of Consolidation [Policy Text Block] Disclosure of accounting policy related to the basis of presentation and principles of consolidation. Basis of Presentation and Principles of Consolidation Amendment Description Capital Expenditures Excluding Lease Buyouts Total capital investments, excluding lease buyouts The cash outflow for purchases of and capital improvements on property, plant and equipment (capital expenditures), software, and other intangible assets, excluding lease buyouts, plus net change in construction in progress payables during the reporting period. Amendment Flag Central States, Southeast & Southwest Areas Pension Plan Represents the multi employer pension fund of Central States, Southeast & Southwest Areas Pension Plan. Central States Southeast and Southwest Areas Pension Plan [Member] Collective Bargaining Agreement [Member] Represents activity related to collective bargaining agreements. Collective Bargaining Agreements Information related to commitments and contingencies. Commitments and Contingencies [Table] Commodity Price Protection Commodity Price Protection [Policy Text Block] Describes an entity's accounting policy for commodity price protection through purchase commitments. Common stock, amendment in authorized shares This element represents the amendment made to the Amended Articles of Incorporation to increase the authorized shares of common stock. Common Stock, Change in Authorized Shares Common Stock, Repurchase Program Disclosures [Abstract] Common Stock Repurchase Program Company Retail Operation, Percent of Sales This element represents the percentage of sales and EBITDA for its only reportable segment to total sales. Company's retail operations (in percent) Consolidated Statements of Cash Flows [Abstract] Consolidated Statements Of Cash Flows Buildings and Land Improvements [Member] Buildings and land improvements Long-lived, depreciable structure held for productive use, including office, production, storage and distribution facilities and long-lived, depreciable assets that are an addition or improvement to real estate held for productive use. Consolidated Statements of Cash Flows [Policy Text Block] Consolidated Statements of Cash Flows Describes an entity's accounting policy related to components of the consolidated statements of cash flows. This element represents the investments made in corporate stocks. Corporate Stocks Corporate Stocks [Member] Credit Agreement and Money Market Lines [Member] Credit Agreement and money market lines Represents information pertaining to the Credit Agreement and money market lines. Debt Instrument, Covenant Maximum Leverage Ratio Maximum leverage ratio Represents the maximum ratio of leverage maintained under credit facility. Debt Instrument, Covenant Minimum Fixed Charge Coverage Ratio Minimum fixed charge coverage ratio Represents the minimum ratio of fixed charge coverage maintained under credit facility. Debt Instrument, Interest Rate of Debt Repaid The interest rate for debt that was repaid during the period. Interest rate of debt repaid (as a percent) Debt Instrument, Maximum Covenant Amended Related to Expenses Maximum amount excluded from expense related to the commitment to fund the UFCW consolidated pension plan Represents the maximum amount excluded from expense related to the commitment to the UFCW consolidated pension plan. Current Fiscal Year End Date Award Type [Axis] Debt Instrument, Variable Rate Base Bank of America Prim Rate [Member] Bank of America prime rate The Bank of America prime rate used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base Federal Funds [Member] Federal Funds Rate plus 0.5 percent The federal funds rate used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base One Month LIBOR [Member] One-month LIBOR plus 1.0 percent plus a market rate spread based on the company's leverage ratio The one-month London Interbank Offered Rate (LIBOR) which may be used to calculate the variable interest rate of the debt instrument. Deferred Rent [Policy Text Block] Deferred Rent Describes an entity's accounting policy for deferred rent or rent holidays. Deferred Tax Assets, Current Operating Loss and Tax Credit Carryforwards Net operating loss and credit carryforwards The sum of tax effects, as of the balance sheet date, of the amount of (1) excess of tax deductions over gross income in a year, which cannot be used on the tax returns in the current year but can be utilized within one year and (2) tax deductions anticipated within a year arising from all unused tax credit carryforwards which have been reduced by a valuation allowance. Compensation related costs The sum of the tax effects, as of the balance sheet date, of the amount of estimated deductions within one year arising from all employee compensation and benefit costs, which can only be deducted for tax purposes when the actual costs are incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Deferred Tax Assets, Current, Tax Deferred Expense Compensation and Benefits Closed store reserves The sum of the non-current tax effects, as of the balance sheet date, of the amount of estimated future tax deductions arising from closed store reserves, which can only be deducted for tax purposes when the actual costs are incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Deferred Tax Assets, Noncurrent Closed Store Reserves Deferred Tax Assets, Noncurrent Lease Accounting Lease accounting The sum of the non-current tax effects, as of the balance sheet date, of the amount of estimated future tax deductions arising from lease accounting, which can only be deducted for tax purposes when the actual costs are incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Net operating loss and credit carryforwards The sum of tax effects, as of the balance sheet date, of the amount of (1) excess of tax deductions over gross income in a year, which cannot be used on the tax returns in the current or following year but can be utilized thereafter and (2) the non-current tax deductions arising from all unused tax credit carryforwards which have been reduced by a valuation allowance. Deferred Tax Assets, Noncurrent Operating Loss and Tax Credit Carryforwards Other The non-current tax effect as of the balance sheet date of the amount of estimated future tax deductions arising from other temporary differences not otherwise specified in the taxonomy. Deferred Tax Assets, Noncurrent, Other Compensation related costs The sum of the non-current tax effects, as of the balance sheet date, of the amount of estimated deductions arising from all employee compensation and benefit costs, which can only be deducted for tax purposes when the actual costs are incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Deferred Tax Assets, Noncurrent Tax Deferred Expense, Compensation and Benefits Document Period End Date Insurance related costs The non-current tax effect, as of the balance sheet date, of the amount of tax deductions arising from estimates of losses under insurance, which can only be deducted for tax purposes when actual losses are incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Deferred Tax Assets, Tax Deferred Expense Insurance Related Costs Deferred Tax Liabilities, Current Insurance Related Costs Insurance related costs The amount as of the balance sheet date of the estimated tax effects anticipated to occur within one year attributable to the difference between the methods used to account for insurance related costs for tax purposes and under generally accepted accounting principles which will increase future taxable income when such difference reverses. Inventory related costs The amount as of the balance sheet date of the estimated tax effects anticipated to occur within one year attributable to the difference between the tax basis of inventory and the basis of inventory computed in accordance with generally accepted accounting principles. The basic difference, whether due to impairment charges or other reasons, will increase future taxable income when it reverses. Deferred Tax Liabilities, Current Inventory Related Costs Deferred Tax Liabilities, Current, Other Other The cumulative amount of the estimated future tax effects attributable to other temporary differences not otherwise specified in this taxonomy that were expensed for tax purposes but capitalized in conformity with generally accepted accounting principles, or which were recognized as revenue under GAAP but not for tax purposes, which will reverse within one year. Deferred Tax Liabilities, Net Current Classification [Abstract] Current deferred tax liabilities: Deferred Tax Liabilities, Noncurrent Classification [Abstract] Long-term deferred tax liabilities: Amortization of: Defined Benefit Plan, Amortization [Abstract] Derivative, Notional Amount Notional amount Defined Benefit Plan, Average Return Rate Measurement Period This element represents the measurement period for the pension plan's average annual return rate. The measurement period for the pension plan's average annual rate of return, rate in calendar years Defined Benefit Plan, Average Return Rate Years The number of years in which the Company average annual return rate and the average annual return rate of the S&P 500 have been at the current rates This element represents the number of years in which the entity's average annual return rate and the average annual return rate of the S and P 500 have been at the current rates. Defined Benefit Plan, Benefit Obligation Decrease Due to Discount Rate Decrease in pension benefit obligation due to change in discount rate This element represents the change in defined benefit plan's benefit obligation due to a hypothetical change in discount rate. The net increase or decrease in the value of the benefit obligation as a result of other items not defined in the taxonomy. Defined Benefit Plan, Change in Benefit Obligation Other Other Defined Benefit Plan Change in Plan Assets Other Other The net increase or decrease in the value of the plan assets as a result of other items not defined in the taxonomy. This element represents the distributions on plan assets of defined benefit plans for the period. Defined Benefit Plan, Distributions Distributions Changes in the fair value of plan assets as a result of other items not defined in the taxonomy. Defined Benefit Plan, Other Other Represents the period of recognition of gains or losses on plan assets. Defined Benefit Plan, Period of Recognition of Gains (Losses) on Plan Assets Period of recognition of gains or losses on plan assets Defined Benefit Plan, Projected Benefit Obligation Accumulated Benefit Obligation and Fair Value of Plan Assets [Abstract] Projected benefit obligation ("PBO"), accumulated benefit obligation ("ABO") and the fair value of plan assets for all Company-sponsored pension plans: Defined Benefit Plan, Realized Gains (Losses) Realized gains (losses) This element represents the realized gains (losses) on plan assets of defined benefit plans for the period. Defined Benefit Plan, Reconciliation for Assets Measured at Fair Value Using Significant Unobservable Inputs [Roll Forward] Roll-Forwards of assets measured at fair value using Level 3 inputs Defined Benefit Plan, Unrealized Gains (Losses) Unrealized gains (losses) This element represents the unrealized gains (losses) on plan assets of defined benefit plans for the period. Denver Area Meat Cutters and Employers Pension Plan Represents the multi employer pension fund of Denver Area Meat Cutters and Employers Pension Plan. Denver Area Meat Cutters and Employers Pension Plan [Member] Deposits in Transit Store deposits in-transit Generally represents funds deposited to bank accounts, as of the balance sheet date, related to sales, a majority of which were paid for with credit cards and checks, to which the depositor does not have immediate access. Deposits in Transit [Policy Text Block] Deposits In-Transit Describes an entity's accounting policy related to deposits in-transit. Number of matured contracts Derivative, Number of Matured Instruments Held The number of matured fair value interest rate swaps during the period. Derivative, Number of New Agreements The number of derivative instruments of a particular group held by the entity entered into during the period. Number of new contracts Description of Business Basis of Presentation and Principles of Consolidation Policy [Text Block] Disclosure of accounting policy related to the description of the business, basis of presentation, and principles of consolidation. Description of Business, Basis of Presentation and Principles of Consolidation Represents the multi employer pension fund of Desert States Employers & UFCW Unions Pension Plan. Desert States Employers and UFCW Unions Pension Plan [Member] Desert States Employers & UFCW Unions Pension Plan Document and Entity Information This category includes information about investments in equity in emerging markets. Emerging Market Equity Securities [Member] Emerging market equity securities Entered into and Terminated during Period [Member] Represents information pertaining to derivative instruments which were entered into and terminated during the period. Entered into during period and terminated Fair Value Assets Level 3 to Level 1 Transfers Amount Assets transferred from Level 3 to Level 1 Represents the amount of transfers of assets measured on a recurring basis out of Level 3 of the fair value hierarchy into Level 1. Fiscal Year Fiscal Year [Abstract] Forward-starting interest rate swaps Represents forward-starting interest rate swaps. A forward-starting interest rate swap is an agreement that effectively hedges the variability in future benchmark interest payments attributable to changes in interest rates on the forecasted issuance of fixed-rate debt. Forward Starting Interest Rate Swap [Member] Cash Flow Forward-Starting Interest Rate Swaps Future Lease Obligations, Closed Stores The amount of future lease obligations expected to be paid related to store closings as of the balance sheet date. Balance at the beginning of the period Balance at the end of the period Additions Additional obligations recognized during the period to the future lease obligations accrual due to recently closed stores. Future Lease Obligations Closed Stores, Additions Future Lease Obligations Closed Stores, Other Other transactions during the period related to future lease obligations accrual for closed stores. Other Payments Future Lease Obligations Closed Stores, Payments Payments related to closed stores during the period related to the future lease obligations accrual. Contractually required future minimum rentals on non-cancelable subleasing arrangements. Future Minimum Sublease Rentals Future minimum rentals under noncancelable subleases Typical stock options General Stock Options [Member] The type of share-based compensation, general stock options, for which information is being disclosed. Goodwill Balance of Supermarket Reporting Unit with Potential Impairment The approximate goodwill balance of supermarket reporting units with potential impairment, given a specified percentage reduction in the fair value of reporting units. Goodwill balance of supermarket reporting units with potential goodwill impairment condition to a specified percent reduction in fair value Goodwill Impairment Percent Change in Fair Value, Potential Impairment Determination A specified percentage reduction in the fair value of reporting units, for purposes of disclosing whether the reduction would or would not indicate a potential for impairment of the remaining goodwill balance. Percentage reduction in fair value of reporting units used by entity for determining potential impairment High Yield Debt Securities [Member] High yield debt securities A debt security which yields high returns, usually corresponding to a higher level of risk than other debt securities. Impairment of Long Lived Assets [Abstract] Impairment of Long-Lived Assets Net change in construction in progress payables during the reporting period. Changes in construction-in-progress payables Increase (Decrease) in Construction in Progress Payables A roll forward is a reconciliation of a concept from the beginning of a period to the end of a period. Increase (Decrease) in the accrual activity for future lease obligations of closed stores Increase (Decrease) in Future Lease Obligations Closed Stores [Roll Forward] The net change during the reporting period in the amount of funds deposited to bank accounts related to sales, a majority of which were paid for with credit cards and checks, to which the depositor does not have immediate access. Increase (Decrease) in Store deposits in transit Store deposits in-transit Indiana UFCW Unions and Retail Food Employers Pension Plan Represents the multi employer pension fund of Indiana UFCW Unions and Retail Food Employers Pension Plan. Indiana UFCW Unions and Retail Food Employers Pension Plan [Member] Interest Rate Risk Management [Policy Text Block] Description of the entity's risk management policy for interest rate derivatives. Includes a description of the items or transactions for which risks are hedged, such as interest rate risk on fixed rate debt. Interest Rate Risk Management Investment grade securities are those rated Baa or better or BBB or better. These bonds are considered suitable investments for banks, trust departments, and fiduciaries, such as pension funds. U.S. Treasury securities and federal agency securities are also considered investment quality securities for financial institutions. Investment Grade Debt Securities [Member] Investment grade debt securities This element represents Investment in interest of a variable interest entity of income tax. Investment in Interest of a Variable Interest Entity of Income Tax Investment in the remaining interest of a variable interest entity, income tax Issuance of common stock: Issuance of Common Stock [Abstract] Minimum lease-financed transactions annual rentals and payments The total of future contractually required rental payments on leases meeting the criteria for capitalization classified as lease-financed transactions. Lease Financed Transactions Future Minimum Payments Due Aggregate Lease Financed Transactions Future Minimum Payments Due Current Lease-Financed Transactions, 2013 Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due in the year following the balance sheet date. Lease Financed Transactions Future Minimum Payments Due in Five Years Lease-Financed Transactions, 2017 Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due within the fifth year following the balance sheet date. Entity Well-known Seasoned Issuer Lease Financed Transactions Future Minimum Payments Due in Four Years Lease-Financed Transactions, 2016 Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due within the fourth year following the balance sheet date. Entity Voluntary Filers Lease-Financed Transactions, 2015 Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due within the third year following the balance sheet date. Lease Financed Transactions Future Minimum Payments Due in Three Years Entity Current Reporting Status Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due within the second year following the balance sheet date. Lease Financed Transactions Future Minimum Payments Due in Two Years Lease-Financed Transactions, 2014 Entity Filer Category Contractually required rental payments on leases meeting the criteria for capitalization classified as lease financed transactions due after the fifth year following the balance sheet date. Lease Financed Transactions Future Minimum Payments Due Thereafter Lease-Financed Transactions, Thereafter Entity Public Float This element represents the range of the term of lease. Lease Term Lease term Entity Registrant Name The remaining terms of leases associated with closed stores. Remaining lease terms of closed stores Lease Term Remaining, Closed Stores Entity Central Index Key LEASES AND LEASE-FINANCED TRANSACTIONS Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. Leased Assets [Line Items] Represents the length of fiscal year of the reporting entity. Length of Fiscal Year Length of fiscal year Length of Quarter Length of quarter Represents the length of quarter of the reporting entity. Letters of Credit, Outstanding Reducing Funds under Credit Agreement, Amount Reduction in funds available under letter of credit agreement The total amount of the outstanding letters of credit that reduce funds available under the entity's credit agreement as of the reporting date. Entity Common Stock, Shares Outstanding Limit of Combined Average Annual Debt Subject to Reset and Floating Rate Debt The average annual amount to which the entity limits the aggregate of (a) the average annual debt subject to interest rate reset and (b) the amount of floating rate debt, to reduce exposure to market risk from fluctuating interest rates. Combined average annual limit of aggregate amount of debt subject to interest rate reset and floating rate debt, to reduce interest rate risk Line of Credit Facility Additional Borrowing Capacity Additional borrowing capacity Represents the additional maximum borrowing capacity of the entity under its Credit Agreement, subject to certain conditions. Long Term Debt Including Obligations under Capital Leases and Financing Obligations Long-term debt including obligations under capital leases and financing obligations Sum of the carrying values as of the balance sheet date of all long-term debt, which is debt initially having maturities due after one year from the balance sheet date or beyond the operating cycle, if longer, but excluding the portions thereof scheduled to be repaid within one year or the normal operating cycle, if longer, plus capital lease obligations due to be paid more than one year after the balance sheet date, plus unamortized proceeds from discontinued fair value hedges and the fair value, as of the balance sheet date, of all derivatives designated as interest rate fair value hedging instruments. Manufacturing plant and distribution center equipment Tangible property, non-consumable in nature, with finite life that is used to produce goods and services used in manufacturing plant and distribution center. Manufacturing Plant and Distribution Center Equipment [Member] Represents the amount of adjustment in the underfunded amount for the four multi-employer pension funds that will participate in the memorandum of understanding. Memorandum of Understanding with United Food and Commercial Workers International Union [Member] Memorandum of understanding with United Food and Commercial Workers International Union Merchandise Costs [Policy Text Block] Describes an entity's accounting policy pertaining to merchandising costs, which include product costs, net of discounts and allowances; advertising costs; inbound freight charges; warehousing costs, including receiving and inspection costs; transportation costs; and manufacturing, production and operational costs. Merchandise Costs Minimum Number of Days Notice Required Prior to the Date of Redemption Minimum number of days notice required prior to the date of redemption Represents the minimum number of days, prior to which a notice is issued, for redemption for some of the entity's publicly issued debt. Money market lines aggregate amount Represents the aggregate amount of borrowing capacity under the uncommitted money market lines. Money Market Lines Aggregate Amount A roll forward is a reconciliation of a concept from the beginning of a period to the end of a period. Movement in Self Insurance Liability [Roll Forward] Changes in self-insurance liability The entire disclosure for multi employer pension plans arising from its collective bargaining agreements. Multi Employer Plans Disclosure [Text Block] MULTI-EMPLOYER PENSION PLANS Number of multi-employer pension funds before consolidation Multiemployer Pension Funds before Consolidation Number Represents the number of multi-employer pension funds before consolidation. Multiemployer Pension Funds Number Represents the number of existing multi-employer pension funds that will participate in the memorandum of understanding. Number of multi-employer pension funds Multiemployer Pension Funds Pension Plan Charge Amount, after Tax After-tax UFCW consolidated pension plan charge Represents the after tax charge related to UFCW pension plan consolidation. Multiemployer Pension Funds Pension Plan Charge Amount, before Tax Before-tax UFCW consolidated pension plan charge Represents the before tax charge related to UFCW pension plan consolidation. Pre-tax underfunded amount of the four existing multi-employer pension plans Represents the underfunded amount for the four multi-employer pension funds that will participate in the memorandum of understanding. Multiemployer Pension Funds Underfunded Amount Multiemployer Pension Funds Underfunded Amount Adjustment Amount of adjustment recorded reducing estimated commitment Represents the amount of adjustment in the underfunded amount for the four multi-employer pension funds that will participate in the memorandum of understanding. Multiemployer Pension Funds Underfunded Amount before Adjustment Pre-tax underfunded amount of the four existing multi-employer pension plans before adjustment Represents the underfunded amount for the four multi-employer pension funds that will participate in the memorandum of understanding before adjustment. Document Fiscal Year Focus Multiemployer Plan Pension Protection Act Zone [Axis] Information by pension protection act zone of a pension or postretirement benefit plan to which two or more unrelated employers contribute where assets contributed by one participating employer may be used to provide benefits to employees of other participating employers. Document Fiscal Period Focus Multiemployer Plan Pension Protection Act Zone [Domain] Legal names of pension protection act zone plans to which two or more unrelated employers contribute to the same plan where assets contributed by one participating employer may be used to provide benefits to employees of other participating employers. Multiemployer Plan Period Contributions Allocated to Service and Interest Costs and Expenses Contribution allocated to service and interest costs and expense Amount of contributions made to the consolidated multiemployer pension fund allocated to service and interest costs and expenses. Contribution allocated to Unfunded Actuarial Accrued Liability Amount of contributions made to the consolidated multiemployer pension fund allocated to the Unfunded Actuarial Accrued Liability. Multiemployer Plan Period Contributions Allocated to Unfunded Actuarial Accrued Liability Minimum percentage of total contributions received by pension fund The entity's multi-employer contributions for this respective pension fund represent more than 5% of the total contributions received by this pension fund. Multiemployer Plans Minimum Percentage of Contributions of Total Contributions Received by Pension Fund Represents the total number of most significant collective bargaining agreements for the entity related to this pension fund. Multiemployer Plans Most Significant Collective Bargaining Arrangement, Number Most Significant Collective Bargaining Agreements Count Percentage of funded status Represents percentage of funded status. Multiemployer Plans, Percentage of Funded Status This element represents the investments made in mutual funds and collective trust. Mutual Funds and Collective Trust [Member] Mutual Funds/Collective Trusts The portion of consolidated profit or loss for the period, net of income taxes and net of income allocated to participating securities, which is attributable to the parent. This amount is used for earnings per basic share calculations. Net earnings attributable to The Kroger Co. per basic common share Net Income (Loss) Attributable to Parent, Net of Income Allocated to Participating Securities, Basic Net Income (Loss) Attributable to Parent, Net of Income Allocated to Participating Securities, Diluted The portion of consolidated profit or loss for the period, net of income taxes, net of income allocated to participating securities, and net of adjustments resulting from the assumption that dilutive convertible securities were converted, options or warrants were exercised, or that other shares were issued upon the satisfaction of certain conditions, which is attributable to the parent. This amount is used for earnings per diluted share calculations. Net earnings attributable to The Kroger Co. per diluted common share Non Perishable Disclosures related to the sale of Non Perishable products. Non Perishable [Member] Non Qualified Pension Plans Defined Benefit [Member] Non-Qualified Plan This element represents the non-qualified defined benefit pension plan. Northwest Ohio UFCW Union and Employers Joint Pension Fund Disclosures related to the sale of non perishable products. Northwest Ohio UFCW Union and Employers Joint Pension Fund [Member] Document Type Notional Amount of Interest Rate Derivatives Matured Interest rate swap agreements, notional matured amount The notional amount of fair value interest rate swaps that matured during the period. ACCOUNTING POLICIES Notional Amount of Interest Rate Derivatives, New Contracts The aggregate notional amount of fair value interest rate swaps entered into during the period. Interest rate swap agreements, notional entered amount Number of Leveraged Products Number of leveraged products Represents the number of leveraged products. Number of locals of the United Food and Commercial Workers International Union that participate in the four multi-employer pension funds Represents the number of locals of the United Food and Commercial Workers International Union that currently participate in the four multi-employer pension funds. Number of Locals in Multiemployer Pension Funds Number of Money Market Lines Number of uncommitted money market lines Represents the number of uncommitted money market lines. Number of Multi Employer Pension Funds Number of multi-employer pension funds Represents the number of multi-employer pension funds before being consolidated into one multi-employer pension fund. Represents the number of multi-employer pension funds after the consolidation. Number of Multi Employer Pension Funds after Consolidation Number of multi-employer pension funds after the consolidation Number of Suppliers in which Interest Acquired Number of suppliers in which interest acquired Represents the number of suppliers in which interest is acquired by the entity. Offsetting Assets and Liabilities [Line Items] Effects of master-netting agreements and rights of offset on the statement of financial position Offsetting Assets and Liabilities [Table] Disclosure of information about derivative and financial assets and liabilities that are subject to offsetting, including enforceable master netting arrangements. Operating, General and Administrative Expense Operating, general and administrative The aggregate total of expenses of managing and administering the affairs of an entity, including affiliates of the reporting entity, which are not directly or indirectly associated with the manufacture, sale or creation of a product or product line, excluding rental expense incurred for leased assets including furniture and equipment which has not been recognized in costs and expenses applicable to sales and revenues; for example, cost of goods sold or other operating costs and expenses. Operating, general, and administrative Lease-Financed Transactions, Future minimum annual rentals and payments Operating Leases, Future Minimum Payments, Due Future Minimum Sublease Rentals Due [Abstract] Oregon Retail Employees Pension Plan [Member] Oregon Retail Employees Pension Plan Represents the multi employer pension fund of Oregon Retail Employees Pension Plan. Organization Consolidation and Presentation [Line Items] Segments Original Cost of Property, Plant and Equipment, Collateralized Mortgages This element represents the original cost of property, plant and equipment collateralized. Property, plant and equipment collateralized, original cost Other Comprehensive Income (Loss), Reclassification Adjustment from AOCI Pension and Other Postretirement Benefit Plans for Curtailments and Settlements before, Tax Curtailments and settlements Amount before tax of reclassification adjustment from accumulated other comprehensive income (loss) for curtailments and settlements related to pension and other postretirement benefit plans. Long term debt not otherwise specified in the taxonomy. Other Other Debt [Member] Other Investment [Member] Other This element represents the other investment categories not otherwise specified in the taxonomy. Other Multi Employer Plans [Member] Other Represents the Other multi employer pension fund. Other Product [Member] Other Disclosures related to the sale of other products. This element represents the investments made in partnerships and joint ventures. Partnerships and Joint Ventures [Member] Partnerships/Joint Ventures Expense for Company-sponsored pension plans Represents the amount recognized for certain defined benefit pension costs during the period. Pension expense includes the following components: service cost, interest cost, expected return on plan assets, gain or loss on plan assets, prior service cost or credit, transition asset or obligation, and gain or loss due to settlements or curtailments. Pension Expense, Defined Benefit Plans Pension Protections Green Zone [Member] Green zone Represents pension protection green zone. Pension Protections Red Zone [Member] Red zone Represents pension protection red zone. Pension Protections Yellow Zone [Member] Yellow zone Represents pension protection yellow zone. Trade accounts payable Accounts Payable, Trade, Current This element represents the defined benefit plan average annual return rate for the past twenty years. Percentage of Defined Benefit Plan, Average Annual Return Rate for Past 20 Years Percentage of average annual rate of return for past 20 years Percentage of Defined Benefit Plan, Average Annual Return Rate for S and P 500 Rating Percentage of average annual return for the S&P 500 for past twenty years This element represents the defined benefit plan average annual return rate for the S and P 500 rating. Percentage of Defined Benefit Plan, Average Return Rate for 10 Calendar Years, Net Pension plan's average rate of return for the 10 calendar years ended December 31, net of all investment management fees and expenses (as a percent) This element represents the defined benefit plan average return rate for ten calendar years ended December 31, net of investment management fees and expenses. Percentage of Defined Benefit Plan, Benefit Obligation, Discount Rate Increase Increase in discount rate used to determine pension benefit obligation, as compared to prior year (in basis points) This element represents a hypothetical increase in the discount rate (in basis points). Percentage of Defined Benefit Plan, Increase in Investments Value, Net Percentage increase in value of all investments in Company-sponsored defined benefit pension plans, net of investment management fees and expenses This element represents the defined benefit plan percentage increase in investment value compared to prior year, net of investment management fees and expenses. Percentage of Defined Benefit Plan, Investment Assumed Return Rate Assumed pension plan investment return rate (as a percent) Percentage represents the assumed investment rate of return for the defined benefit plan. Percentage of Total Sales Percentage of total sales This element represents the percentage of sales for this product to the total during the reporting period. Perishable Disclosures related to the sale of perishable products. Perishable [Member] Pharmacy Disclosures related to the sale of pharmacy products. Pharmacy [Member] Preferred stock, shares available for issuance Total number of shares of voting cumulative preferred stock available for issuance. Preferred Stock Shares Available Preferred Stock, Shares Unissued Preferred shares, shares unissued Total number of nonredeemable preferred shares (or preferred stock redeemable solely at the option of the issuer) unissued to shareholders (includes related preferred shares that were issued, repurchased and remain in the treasury). May be all or portion of the number of preferred shares authorized. Excludes preferred shares that are classified as debt. This element represents the qualified defined benefit pension plan. Qualified Pension Plans, Defined Benefit [Member] Qualified Plans Range of Exercise Prices from Dollars 13.78 to 17.30 [Member] Range of exercise prices from $13.78 to $17.30 Represents the range of exercise prices from 13.78 dollars to 17.30 dollars. Range of exercise prices from $13.78 to $28.62 Represents the range of exercise prices from $13.78 to $28.62. Range of Exercise Prices from Dollars 13.78 to Dollars 28.62 [Member] Range of Exercise Prices from Dollars 17.31 to 20.15 [Member] Range of exercise prices from $17.31 to $20.15 Represents the range of exercise prices from 17.31 dollars to 20.15 dollars. Range of exercise prices from $20.16 to $22.33 Represents the range of exercise prices from 20.16 dollars to 22.30 dollars. Range of Exercise Prices from Dollars 20.16 to 22.33 [Member] Range of exercise prices from $22.34 to $26.13 Represents the range of exercise prices from 22.34 dollars to 26.13 dollars. Range of Exercise Prices from Dollars 22.34 to 26.13 [Member] Range of Exercise Prices from Dollars 26.14 to 28.62 [Member] Range of exercise prices from $26.14 to $28.62 Represents the range of exercise prices from 26.14 dollars to 28.62 dollars. RECENTLY ISSUED ACCOUNTING STANDARDS Unrealized gains on available-for-sale securities Available for Sale Securities, Gross Unrealized Gain (Loss) Accumulated in Investments Net amount of the difference between the fair value and market value on investments in available-for-sale securities. Reconciliation of capital investments: Reconciliation of Capital Expenditures [Abstract] Redemption Event Percentage Redemption event The entity's public debt is subject to early redemption at the option of the holder upon the occurrence of a redemption event. A redemption event is defined in the indentures as the occurrence of i) any person or group, together with any affiliate thereof, beneficially owning 50% or more of the voting power of the Company, (ii) any one person or group, or affiliate thereof, succeeding in having a majority of its nominees elected to the Company's Board of Directors, in each case, without the consent of a majority of the continuing directors of the Company or (iii) both a change of control and a below investment grade rating. Restricted Stock Awards, Shares Restricted stock issued (in shares) Shares of common stock surrendered / repurchased during the period to withhold for employee taxes due to the lapsing and issuance of restricted stock from common stock and treasury stock, respectively. Restricted Stock Awards, Value Restricted stock issued Value of common stock surrendered / repurchased during the period to withhold for employee taxes due to the lapsing and issuance of restricted stock from common stock and treasury stock, respectively. Restricted stock plans. The type of share-based compensation, restricted stock, for which information is being disclosed. Restricted Stock Plans [Member] Retail Food Employers & UFCW Local 711 Pension Represents the multi employer pension fund of Retail Food Employers & UFCW Local 711 Pension. Retail Food Employers and UFCW Local 711 Pension [Member] Rocky Mountain UFCW Unions and Employers Pension Plan Represents the multi employer pension fund of Rocky Mountain UFCW Unions and Employers Pension Plan. Rocky Mountain UFCW Unions and Employers Pension Plan [Member] Represents the multi employer pension fund of SO CA UFCW Unions & Food Employers Joint Pension Trust Fund. SO CA UFCW Unions and Food Employers Joint Pension Trust Fund [Member] SO CA UFCW Unions & Food Employers Joint Pension Trust Fund Schedule of Accrual Activity Future Lease Obligations [Table Text Block] Schedule summarizing the accrual activity for future lease obligations related to closed stores in the normal course of business. Summary of accrual activity for future lease obligations of stores that were closed Schedule summarizing the changes in self-insurance liabilities. Summary of changes of self-insurance liability Schedule of Changes in Self Insurance Liability [Table Text Block] Schedule of Short-term Debt and Long-term Debt Instruments [Table] A table or schedule providing information pertaining to short-term and long-term debt instruments or arrangements, including identification, terms, features, collateral requirements and other information necessary to a fair presentation. Schedule of Future Minimum Lease Payments for Capital and Operating Leases [Table Text Block] Disclosure of future minimum payments for capital leases, operating leases and lease-financed transactions, as of the date of the latest balance sheet presented, in aggregate and for each of the five succeeding fiscal years and the sum of all years thereafter. Minimum annual rentals and payments under capital leases and lease-financed transactions Schedule of Leased Assets [Table] Schedule of long-lived, depreciable assets that are subject to a operating lease agreements and are used in the normal conduct of business to produce goods and services. Schedule of Offsetting Assets and Liabilities [Table Text Block] Schedule of effects of master-netting agreements Tabular disclosure of derivative assets and liabilities that are subject to offsetting due to the master netting arrangements. Schedule of Target and Actual Allocations of Pension Plan Assets [Table Text Block] Target and actual pension plan asset allocations Disclosure of target and actual pension plan asset allocation percentage in various asset categories. Self-Insurance Costs Self Insurance Costs [Abstract] Amount charged against earnings in the period for incurred and estimated costs associated with self-insured coverages. Self Insurance, Expense Expense Self Insurance Reserve, Claim Payments Claim payments Amount of cash paid in the period to fully or partially settle claims made against self-insurance coverages. Self Insurance Reserves, Policy [Policy Text Block] Describes an entity's accounting policy for recognizing reserves for potential liabilities related to insurance and self-insurance plans for workers' compensation, general liability, and property-related loses. Self-Insurance Costs Selling, General and Administrative and Interest Expense Selling, general, and administrative expense and interest expense Total costs related to selling, general, and administrative expense and interest expense. Senior Notes at 5.00 Percent [Member] Senior notes 5.00% Represents 5.00 percent senior notes. Represents the 5.50 percent senior notes. Senior notes 5.50% Senior Notes at 5.50 Percent [Member] Senior Notes at 6.20 Percent [Member] Senior notes 6.20% Represents 6.20 percent senior notes. Senior Notes at 6.75 Percent [Member] Senior notes 6.75% Represents 6.75 percent senior notes. Senior Notes at 6.80 Percent [Member] Senior notes 6.80% Represents 6.80 percent senior notes. Senior Notes Due 2016 at 2.20 Percent [Member] Senior notes 2.20% due 2016 Represents 2.20 percent senior notes, which are due in 2016. Represents 3.40 percent senior notes, which are due in 2022. Senior Notes Due 2022 at 3.40 Percent [Member] Senior notes 3.40% due 2022 Senior Notes Due 2042 at 5.00 Percent [Member] Senior notes 5.00% due 2042 Represents 5.00 percent senior notes, which are due in 2042. Share Based Compensation Arrangement by Share Based Payment Award, Options, Vested in Period, Total Fair Value Total fair value of options vested The total fair value of stock option awards for which the grantee gained the right during the reporting period, by satisfying service and performance requirements, to receive or retain shares or units, other instruments, or cash in accordance with the terms of the arrangement. Ratio at which shares available for stock options can be converted into shares available for restricted stock awards The ratio used to convert stock option awards into restricted stock awards. Share Based Compensation Arrangement by Share Based Payment Award, Shares Available Conversion Ratio from Option Award to Restricted Stock Award Share Based Compensation Arrangements by Restricted Share Based Award Restrictions Period Description of the period of time over which the restrictions on the restricted stock awards granted will expire. Period during which restrictions on stock awards granted lapse Sound Retirement Trust [Member] Represents the multi employer pension fund of Sound Retirement Trust (formerly Retail Clerks Pension Plan). Sound Retirement Trust (formerly Retail Clerks Pension Plan) Stock options exchanged (in shares) Number of shares that have been repurchased during the period using proceeds received from exercise of stock options and the tax benefits associated therewith. Common stock repurchase from proceeds of stock option exercises (in shares) Stock Options and Restricted Stock Exchanged, Shares Stock options exchanged Common stock repurchased from stock option proceeds Cost of common stock repurchased during the period using proceeds received from exercises of stock options and the tax benefits associated therewith. Recorded using the cost method. Stock Options and Restricted Stock Exchanged, Value Store Closing and Other Expense Allowances, Policy [Policy Text Block] Describes an entity's accounting policy for recognizing and measuring the liabilities for closed stores including but not limited to net lease liabilities and exit costs. Store Closing Costs Store closing costs Store Closing Costs [Abstract] Store Equipment [Member] Store equipment Tangible store equipment, non-consumable in nature, with finite lives used to produce goods and services. Sublease Term Sublease term This element represents the range of the term of sublease. Derivative instruments which have been terminated. Terminated Hedge [Member] Terminated hedge Represents information pertaining to derivative instruments with maturity dates of April 2013 which have been terminated. Terminated with maturity dates of April 2013 Terminated with Maturity Dates of April 2013 [Member] Treasury Stock Activity [Abstract] Treasury stock activity: UFCW Consolidated Pension Plan Represents the multi employer pension fund of UFCW Consolidated Pension Plan. UFCW Consolidated Pension Plan [Member] UFCW Unions and Food Employers Pension Plan of Central Ohio Represents the multi employer pension fund of UFCW Unions and Food Employers Pension Plan of Central Ohio. UFCW Unions and Food Employers Pension Plan of Central Ohio [Member] Undistributed and Distributed Earnings to Participating Securities The amount of undistributed and distributed earnings to participating securities for the period. Undistributed and distributed earnings to participating securities United Food & Commercial Workers Intl Union - Industry Pension Fund Represents the multi employer pension fund of United Food & Commercial Workers Intl Union - Industry Pension Fund. United Food and Commercial Workers Intl Union Industry Pension Fund [Member] Investment in the remaining interest of a variable interest entity Represents the entity's cash outflow for an investment in the remaining interest of a variable interest entity. Variable Interest Entity, Investment Cash Inflows (Outflows) Variable Interest Entity, Investment Equity Represents the recorded amount to equity for an investment in the remaining interest of a variable interest entity. Investment in the remaining interest of a variable interest entity net of income tax of $(14) Warrants Fair Value Disclosure Warrants The fair value amount of warrants as of the balance sheet date. Washington Meat Industry Pension Trust Represents the multi employer pension fund of Washington Meat Industry Pension Trust. Washington Meat Industry Pension Trust [Member] Western Conference of Teamsters Pension Plan Represents the multi employer pension fund of Western Conference of Teamsters Pension Plan. Western Conference of Teamsters Pension Plan [Member] Senior Notes Due 2023 At 3.85 Percent [Member] Senior notes 3.85% due 2023 Represents 3.85 percent senior notes, which are due in 2023. Senior Notes Due 2043 At 5.15 Percent [Member] Senior notes 5.15% due 2043 Represents 5.15 percent senior notes, which are due in 2043. Harris Teeter Supermarkets Inc [Member] Harris Teeter Supermarkets, Inc. Represents information pertaining to the merger agreement to acquire Harris Teeter Supermarkets, Inc. Global equity securities Global Equity Securities [Member] Represents information pertaining to Global Equity Securities. Stock options Employee and Directors Stock Options [Member] An arrangement whereby an employee or member of the Board of Directors is entitled to receive in the future, subject to vesting and other restrictions, a number of shares in the entity at a specified price, as defined in the agreement. Adjusted Effective Income Tax Rate Continuing Operations Adjusted effective income tax rate (as a percent) Represents the adjusted percentage of current income tax expense (benefit) and deferred income tax expense (benefit) pertaining to continuing operations. Accrued salaries and wages Accrued Salaries, Current Accumulated depreciation and amortization Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Pension and Postretirement Defined Benefit Plans Pension and postretirement defined benefit plan items Accumulated Defined Benefit Plans Adjustment [Member] Available for sale Securities Accumulated Net Unrealized Investment Gain (Loss) [Member] Pension and other postretirement defined benefit plans Accumulated Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Net of Tax Unamortized gain (loss) on terminated cash flow forward-starting interest rate swaps, net of tax Accumulated Other Comprehensive Income (Loss), Cumulative Changes in Net Gain (Loss) from Cash Flow Hedges, Effect Net of Tax Accumulated Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax Unrealized gain on available for sale securities Accumulated other comprehensive loss Total Balance at the beginning of the period Balance at the end of the period Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated Other Comprehensive Gain (Loss) Accumulated Other Comprehensive Income (Loss) [Member] Cash Flow Hedging Activities Gains on cash flow hedging activities Accumulated Net Gain (Loss) from Designated or Qualifying Cash Flow Hedges [Member] Other comprehensive income (loss) Accumulated Other Comprehensive Income (Loss) [Line Items] Accumulated Other Comprehensive Income (Loss) [Table] Unamortized (gain) loss on terminated cash flow forward-starting interest rate swaps, before tax Accumulated Other Comprehensive Income (Loss), before Tax Additional paid-in capital Additional Paid in Capital, Common Stock Additional Paid-In Capital Additional Paid-in Capital [Member] Adjustments to reconcile net earnings including noncontrolling interests to net cash provided by operating activities: Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Share-based employee compensation Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Advertising costs Advertising Costs Advertising Costs, Policy [Policy Text Block] Stock-based employee compensation Allocated Share-based Compensation Expense Shares excluded from the earnings per share calculation due to anti-dilutive effect on earnings per share Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Total Assets, Net Total Assets Assets Current assets Assets, Current [Abstract] ASSETS Assets [Abstract] Total current assets Assets, Current Leased property under capital leases and financing obligations Assets Held under Capital Leases [Member] Available-for-Sale Securities Available-for-sale Securities Balance Sheet Location [Axis] Balance Sheet Location [Domain] Book overdrafts Bank Overdrafts ACCOUNTING POLICIES Basis of Presentation and Significant Accounting Policies [Text Block] Bridge Loan Agreement Bridge Loan [Member] Business Acquisition [Axis] Potential merger Business Acquisition [Line Items] Business Acquisition, Acquiree [Domain] POTENTIAL MERGER Merger cost Business Combination, Consideration Transferred POTENTIAL MERGER Business Combination Disclosure [Text Block] Capital Leases, 2014 Capital Leases, Future Minimum Payments Due in Two Years Minimum capital lease annual rentals and payments Capital Leases, Future Minimum Payments Due Capital Leases, 2017 Capital Leases, Future Minimum Payments Due in Five Years Less amount representing interest Capital Leases, Future Minimum Payments, Interest Included in Payments Capital Leases, 2015 Capital Leases, Future Minimum Payments Due in Three Years Capital Leases, 2016 Capital Leases, Future Minimum Payments Due in Four Years Capital Leases, Future minimum annual rentals and payments Capital Leases, Future Minimum Payments Due, Fiscal Year Maturity [Abstract] Accumulated depreciation for leased property under capital leases Capital Leases, Lessee Balance Sheet, Assets by Major Class, Accumulated Depreciation Present value of net minimum lease payments under capital leases Capital Leases, Future Minimum Payments, Present Value of Net Minimum Payments Capital Leases, Thereafter Capital Leases, Future Minimum Payments Due Thereafter Capital Leases, 2013 Capital Leases, Future Minimum Payments Due, Next Twelve Months Carrying Value Reported Value Measurement [Member] Cash and temporary cash investments: Cash and Cash Equivalents, at Carrying Value [Abstract] Cash and temporary cash investments End of quarter Beginning of year Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents Cash and Cash Equivalents [Member] Cash flow hedges Cash Flow Hedging [Member] Collective Bargaining Arrangement [Domain] Collective Bargaining Arrangement [Axis] Commercial paper borrowings due through November 2013 Commercial paper due through March 2013 Commercial Paper [Member] COMMITMENTS AND CONTINGENCIES Commitments and contingencies (see Note 8) Commitments and Contingencies. COMMITMENTS AND CONTINGENCIES Commitments and Contingencies Disclosure [Text Block] Common shares, par per share (in dollars per share) Common Stock, Par or Stated Value Per Share Common Stock Common Stock [Member] Common shares, shares issued Common Stock, Shares, Issued Dividends declared per common share (in dollars per share) Cash dividends declared per common share (in dollars per share) Common Stock, Dividends, Per Share, Declared Common shares, $1 par per share, 1,000 shares authorized; 959 shares issued in 2013 and 2012 Common Stock, Value, Outstanding Common shares, shares authorized Common Stock, Shares Authorized Common Stock Common Stock, Number of Shares, Par Value and Other Disclosures [Abstract] BENEFIT PLANS Comprehensive income attributable to noncontrolling interests Comprehensive (Income) Loss, Net of Tax, Attributable to Noncontrolling Interest OTHER COMPREHENSIVE INCOME (LOSS) Comprehensive income attributable to The Kroger Co. Comprehensive Income (Loss), Net of Tax, Attributable to Parent OTHER COMPREHENSIVE INCOME (LOSS) Comprehensive Income (Loss) Note [Text Block] Comprehensive income Comprehensive Income (Loss), Net of Tax, Including Portion Attributable to Noncontrolling Interest Construction-in-progress Construction in Progress [Member] Corporate Bonds Corporate Debt Securities [Member] Merchandise costs, including advertising, warehousing, and transportation, excluding items shown separately below Cost of Goods Sold Current Current State and Local Tax Expense (Benefit) Current Current Federal Tax Expense (Benefit) Designated Designated as Hedging Instrument [Member] Debt instrument variable basis rate Debt Instrument, Description of Variable Rate Basis Debt DEBT OBLIGATIONS Debt Instrument [Line Items] Schedule of Long-term Debt Instruments [Table] Issuance of senior notes New issue of senior notes Debt Instrument, Face Amount Increase in applicable margin of interest rate (as a percent) Debt Instrument, Basis Spread on Variable Rate DEBT OBLIGATIONS DEBT OBLIGATIONS Debt Disclosure [Text Block] Maturity period of bridge loan after closing Debt Instrument, Term Debt Instrument [Axis] Debt Instrument, Name [Domain] Interest rate of additional borrowings (as a percent) Debt Instrument, Interest Rate, Stated Percentage Interest rate, maximum range (as a percent) Debt Instrument, Interest Rate, Stated Percentage Rate Range, Maximum Interest rate, minimum range (as a percent) Debt Instrument, Interest Rate, Stated Percentage Rate Range, Minimum Total current deferred tax liabilities Deferred Tax Liabilities, Gross, Current Deferred Deferred Federal Income Tax Expense (Benefit) Deferred income taxes Deferred Income Tax Expense (Benefit) Deferred Deferred State and Local Income Tax Expense (Benefit) Subtotal Deferred Tax Assets, Gross, Noncurrent Total current deferred tax assets Deferred Tax Assets, Net of Valuation Allowance, Current Long-term deferred tax assets: Deferred Tax Assets, Net of Valuation Allowance, Noncurrent Classification [Abstract] Total long-term deferred tax assets Deferred Tax Assets, Net of Valuation Allowance, Noncurrent Current deferred tax assets: Deferred Tax Assets, Net of Valuation Allowance, Current Classification [Abstract] Valuation allowance Deferred Tax Assets, Valuation Allowance, Noncurrent Deferred income taxes Long-term deferred taxes Deferred Tax Liabilities, Net, Noncurrent Depreciation Deferred Tax Liabilities, Property, Plant and Equipment Deferred income taxes Current deferred taxes Deferred Tax Liabilities, Net, Current Amounts in AOCI expected to be recognized as components of net periodic pension or postretirement benefit costs in the next fiscal year (pre-tax): Defined Benefit Plan, Amount to be Amortized from Accumulated Other Comprehensive Income (Loss) Next Fiscal Year [Abstract] 2015 Defined Benefit Plan, Expected Future Benefit Payments, Year Three Benefit obligations at beginning of fiscal year Benefit obligations at end of fiscal year PBO at end of fiscal year Defined Benefit Plan, Benefit Obligation Prior service cost Defined Benefit Plan, Amortization of Prior Service Cost (Credit) Change in benefit obligation: Defined Benefit Plan, Change in Benefit Obligation [Roll Forward] Weighted average assumptions used to determine pension benefits and other benefits Defined Benefit Plan, Assumptions Used in Calculations [Abstract] Transition obligation Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Transition Assets (Obligations), before Tax Effect of a one-percentage-point decrease to total of service and interest cost components Defined Benefit Plan, Effect of One Percentage Point Decrease on Service and Interest Cost Components Actuarial loss Defined Benefit Plan, Actuarial Gain (Loss) 2014 Defined Benefit Plan, Expected Future Benefit Payments, Year Two Discount rate - Benefit obligation (as a percent) Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate Other changes recognized in other comprehensive income (pre-tax): Defined Benefit Plan, Amounts Recognized in Other Comprehensive Income (Loss) [Abstract] Net actuarial loss (gain) Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Gains (Losses), before Tax 2017 Defined Benefit Plan, Expected Future Benefit Payments, Year Five Expected return on plan assets (as a percent) Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Expected Long-term Return on Assets Actuarial loss Defined Benefit Plan, Amortization of Gains (Losses) Discount rate - Net periodic benefit cost (as a percent) Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Discount Rate Total Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), before Tax Effect of a one-percentage-point decrease to post-retirement benefit obligation Defined Benefit Plan, Effect of One Percentage Point Decrease on Accumulated Postretirement Benefit Obligation 2016 Defined Benefit Plan, Expected Future Benefit Payments, Year Four Total Defined Benefit Plan, Amount to be Amortized from Accumulated Other Comprehensive Income (Loss) Next Fiscal Year Prior service cost (credit) Defined Benefit Plan, Future Amortization of Prior Service Cost (Credit) Net actuarial loss Defined Benefit Plan, Future Amortization of Gain (Loss) 2013 Defined Benefit Plan, Expected Future Benefit Payments, Next Twelve Months Defined Benefit Plan, Disclosure Defined Benefit Plan Disclosure [Line Items] Actual return on plan assets Defined Benefit Plan, Actual Return on Plan Assets Amounts recognized in AOCI (pre-tax): Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), before Tax [Abstract] Rate of compensation increase - Benefit Obligation (as a percent) Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Rate of Compensation Increase Benefits paid Defined Benefit Plan, Benefits Paid ABO at end of fiscal year Defined Benefit Plan, Accumulated Benefit Obligation Rate of compensation increase - Net periodic benefit cost (as a percent) Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Rate of Compensation Increase Target allocations (as a percent) Defined Benefit Plan, Target Plan Asset Allocations 2018-2022 Defined Benefit Plan, Expected Future Benefit Payments, Five Fiscal Years Thereafter Change in plan assets: Defined Benefit Plan, Change in Fair Value of Plan Assets [Roll Forward] Effect of a one-percentage-point increase to total of service and interest cost components Defined Benefit Plan, Effect of One Percentage Point Increase on Service and Interest Cost Components Estimated future benefit payments Defined Benefit Plan, Expected Future Benefit Payments, Fiscal Year Maturity [Abstract] Effect of a one-percentage-point increase to post-retirement benefit obligation Defined Benefit Plan, Effect of One Percentage Point Increase on Accumulated Postretirement Benefit Obligation Service cost Service cost Defined Benefit Plan, Service Cost Plan participants' contributions Defined Benefit Plan, Contributions by Plan Participants Funded status at end of fiscal year Defined Benefit Plan, Funded Status of Plan Target and actual pension plan asset allocations Defined Benefit Plan, Information about Plan Assets [Abstract] Interest cost Interest cost Defined Benefit Plan, Interest Cost Fair value of plan assets at beginning of fiscal year Fair value of plan assets at end of fiscal year Fair value of plan assets at end of year Fair value of plan assets Defined Benefit Plan, Fair Value of Plan Assets Contribution to defined benefit pension plans Defined Benefit Plan, Contributions by Employer One-percentage-point change in assumed health care cost trend rates Defined Benefit Plan, Effect of One-Percentage Point Change in Assumed Health Care Cost Trend Rates [Abstract] Net periodic benefit cost Defined Benefit Plan, Net Periodic Benefit Cost Initial health care cost trend rate (as a percent) Defined Benefit Plan, Health Care Cost Trend Rate Assumed for Next Fiscal Year Ultimate health care cost trend rate (as a percent) Defined Benefit Plan, Ultimate Health Care Cost Trend Rate Components of net periodic benefit cost: Defined Benefit Plan, Net Periodic Benefit Cost [Abstract] Expected return on plan assets Defined Benefit Plan, Expected Return on Plan Assets Defined Contribution Plan, Cost Recognized Contribution to employee 401(k) retirement savings accounts Defined Benefit Plan, Asset Categories [Axis] Defined Benefit Plan and Other Postretirement Benefit Plan [Domain] Total actual allocations (as a percent) Defined Benefit Plan, Actual Plan Asset Allocations Defined Benefit Plans and Other Postretirement Benefit Plans [Axis] Prior service cost (credit) Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Prior Service Cost (Credit), before Tax Depreciation Depreciation, Depletion and Amortization Financial Instruments Derivative, Collateral, Right to Reclaim Securities Financial Instruments Derivative, Collateral, Obligation to Return Securities Net Amount Derivative Liability Gross Amounts Offset in the Statement of Financial Position Derivative Asset, Fair Value, Gross Liability Cash Collateral Derivative, Collateral, Right to Reclaim Cash Derivative Financial Instruments Derivative [Line Items] Fixed-rate debt Derivative, Amount of Hedged Item Gross Amounts Offset in the Statement of Financial Position Derivative Liability, Fair Value, Gross Asset Derivative Instrument [Axis] Duration Derivative, Average Remaining Maturity Derivative [Table] DERIVATIVE FINANCIAL INSTRUMENTS Derivative Instruments and Hedging Activities Disclosure [Text Block] DERIVATIVE FINANCIAL INSTRUMENTS Net Amount Derivative Asset Cash Collateral Derivative, Collateral, Obligation to Return Cash Net Amount Presented in the Statement of Financial Position Fair value of liability derivatives Derivative Liability, Fair Value, Amount Not Offset Against Collateral Fair value of asset derivatives Gross Amount Recognized Derivative Asset, Fair Value, Gross Asset Net Amount Presented in the Statement of Financial Position Fair value of asset derivatives Derivative Asset, Fair Value, Amount Not Offset Against Collateral Interest Rate Hedges Derivative, Fair Value, Net Fair value of liability derivatives Gross Amount Recognized Derivative Liability, Fair Value, Gross Liability Derivative, by Nature [Axis] Average fixed rate (as a percent) Derivative, Average Fixed Interest Rate Average variable rate (as a percent) Derivative, Average Variable Interest Rate Number of contracts Derivative, Number of Instruments Held Derivative, Name [Domain] Derivative Contract [Domain] Hedging Relationship [Axis] Gain/(Loss) Reclassified from AOCI into Income (Effective Portion) Derivative Instruments, Loss Reclassified from Accumulated OCI into Income, Effective Portion RECENTLY ISSUED ACCOUNTING STANDARDS Description of New Accounting Pronouncements Not yet Adopted [Text Block] STOCK OPTION PLANS Disclosure of Compensation Related Costs, Share-based Payments [Text Block] STOCK OPTION PLANS Cash dividends declared ($0.465 in 2013 and $0.38 in 2012 per common share) Dividends, Common Stock, Cash EARNINGS PER COMMON SHARE Earnings Per Share [Text Block] Net earnings attributable to The Kroger Co. per basic common share (in dollars per share) Net earnings (loss) attributable to The Kroger Co. per basic common share (in dollars per share) Earnings Per Share, Basic Net earnings attributable to The Kroger Co. per diluted common share (in dollars per share) Net earnings attributable to The Kroger Co. per diluted common share (in dollars per share) Earnings Per Share, Diluted EARNINGS PER COMMON SHARE Effective income tax rate (as a percent) Total (as a percent) Effective Income Tax Rate Reconciliation, Percent Reconciliation of statutory federal rate and effective rate Effective Income Tax Rate Reconciliation, Percent [Abstract] State income taxes, net of federal tax benefit (as a percent) Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Percent Credits (as a percent) Effective Income Tax Rate Reconciliation, Tax Credit, Percent Other changes, net (as a percent) Effective Income Tax Rate Reconciliation, Other Adjustments, Percent Statutory rate (as a percent) Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate, Percent Favorable resolution of issues (as a percent) Effective Income Tax Rate Reconciliation, Tax Settlement, Percent Employee Stock Option Employee Stock Option [Member] Compensation expenses related to non-vested share-based compensation arrangements Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized Weighted-average period for recognition of expenses related to non-vested share-based compensation arrangements Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized, Period for Recognition Cash received from the exercise of options Employee Service Share-based Compensation, Cash Received from Exercise of Stock Options Equipment Equipment [Member] Equity Component Equity Component [Domain] Fair value Estimate of Fair Value Measurement [Member] Excess tax benefits on stock-based awards Excess Tax Benefit from Share-based Compensation, Financing Activities Measurement Frequency [Axis] Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Hierarchy [Axis] Recurring Fair Value, Measurements, Recurring [Member] Fair Value, Measurement Frequency [Domain] Measurement Basis [Axis] Fair value of financial instruments carried at fair value Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] FAIR VALUE MEASUREMENTS Nonrecurring Fair Value, Measurements, Nonrecurring [Member] Fair Value Hierarchy [Domain] Summary of fair value measurements Fair Value, Assets Measured on Recurring Basis [Table Text Block] FAIR VALUE MEASUREMENTS Fair Value Disclosures [Text Block] Fair Value Measurement [Domain] Significant Unobservable Inputs (Level 3) Fair Value, Inputs, Level 3 [Member] Quoted Prices in Active Markets for Identical Assets (Level 1) Fair Value, Inputs, Level 1 [Member] Significant Other Observable Inputs (Level 2) Fair Value, Inputs, Level 2 [Member] Fair value hedges Fair Value Hedging [Member] Federal Federal Income Tax Expense (Benefit), Continuing Operations [Abstract] Total Federal Federal Income Tax Expense (Benefit), Continuing Operations FIFO inventory FIFO Inventory Amount Fiscal Year Fiscal Period, Policy [Policy Text Block] Foreign exchange contracts Foreign Exchange Contract [Member] Fuel Fuel [Member] Goodwill impairment charge Goodwill impairment charge Goodwill, Impairment Loss Goodwill Goodwill, beginning balance Goodwill, ending balance Goodwill. GOODWILL. Goodwill and Intangible Assets Disclosure [Text Block] Disposition Goodwill, Written off Related to Sale of Business Unit Accumulated impairment losses, ending balance Accumulated impairment losses, beginning balance Goodwill, Impaired, Accumulated Impairment Loss Goodwill Balance Goodwill [Roll Forward] Goodwill, Gross, Ending Balance Goodwill, Gross, Beginning Balance Goodwill, Gross Goodwill impairment charge, net of tax Goodwill, Impairment Loss, Net of Tax GOODWILL Acquisitions Goodwill, Acquired During Period Goodwill Goodwill and Intangible Assets, Goodwill, Policy [Policy Text Block] Hedge Funds Hedge Funds [Member] Hedging Designation [Axis] Hedging Designation [Domain] Hedging Relationship [Domain] Impairment of Long-Lived Assets Impairment or Disposal of Long-Lived Assets, Policy [Policy Text Block] CONSOLIDATED STATEMENTS OF OPERATIONS Earnings before income tax expense Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary 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Increase (Decrease) in Accrued Liabilities Gain/(loss) on hedged borrowings, fair value hedges Increase (Decrease) in Fair Value of Hedged Item in Interest Rate Fair Value Hedge Changes in operating assets and liabilities net of effects from acquisitions of businesses: Increase (Decrease) in Operating Capital [Abstract] Other Other Increase (Decrease) in Other Operating Assets and Liabilities, Net Receivables Receivables Increase (Decrease) in Receivables Prepaid expenses Prepaid expenses Increase (Decrease) in Prepaid Expense Inventories Inventories Increase (Decrease) in Retail Related Inventories Increase (Decrease) in Stockholders' Equity Increase (Decrease) in Stockholders' Equity [Roll Forward] Dilutive effect of stock options (in shares) Incremental Common Shares Attributable to Dilutive Effect of Share-based Payment Arrangements Interest expense Amortization of unrealized gains and losses on cash flow hedging activities Interest Expense Interest Rate Risk Management Interest 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[Text Block] Total current liabilities Liabilities, Current Total Liabilities and Equity Liabilities and Equity LIABILITIES Liabilities [Abstract] Current liabilities Liabilities, Current [Abstract] Total Liabilities Liabilities Annual ticking fee (as a percent) Line of Credit Facility, Unused Capacity, Commitment Fee Percentage Line of credit agreement Line of Credit Facility [Abstract] Maximum borrowing capacity Line of Credit Facility, Maximum Borrowing Capacity Unsecured revolving credit facility Credit facility borrowings Line of Credit [Member] Existing unsecured revolving credit facility Line of Credit Facility, Current Borrowing Capacity Total debt, excluding capital leases and financing obligations Long-term Debt Total debt Long-term Debt, Fair Value Face-value of long-term debt including obligations under capital leases and financing obligations Face value of long-term debt including obligations under capital leases and financing obligations Long-term Debt and Capital Lease Obligations Current portion of long-term debt including obligations under capital leases and financing obligations Long-term Debt and Capital Lease Obligations, Current Long-term debt including obligations under capital leases and financing obligations Long-term Debt and Capital Lease Obligations [Abstract] 2014 Long-term Debt, Maturities, Repayments of Principal in Year Two 2016 Long-term Debt, Maturities, Repayments of Principal in Year Four 2017 Long-term Debt, Maturities, Repayments of Principal in Year Five Thereafter Long-term Debt, Maturities, Repayments of Principal after Year Five 2015 Long-term Debt, Maturities, Repayments of Principal in Year Three Less current portion Long-term Debt, Current Maturities Total long-term debt, excluding capital leases and financing obligations Long-term Debt, Excluding Current Maturities 2013 Long-term Debt, Maturities, Repayments of Principal in Next Twelve Months Commitments and Contingencies Loss Contingencies [Line Items] Aggregate annual maturities and scheduled payments of long-term debt, as of year-end 2012, and for the years subsequent to 2012 Maturities of Long-term Debt [Abstract] Maximum Maximum [Member] Minimum Minimum [Member] Noncontrolling interests Stockholders' Equity Attributable to Noncontrolling Interest Mortgages due in varying amounts through 2034 Mortgages [Member] Multiemployer Plan Type [Axis] Multiemployer Plans Type [Domain] MULTI-EMPLOYER PENSION PLANS Multiemployer Plan Name [Domain] Contribution to other multi-employer benefit plans Multiemployer Plan, Period Contributions Multiemployer Plan Name [Axis] MULTI-EMPLOYER PLANS MULTI-EMPLOYER PENSION PLANS Multiemployer Plans [Line Items] Pension Fund Multiemployer Pension Plans Multiemployer Plans, Pension [Member] Long-Lived Assets Long-Lived Assets Cash Flows from Financing Activities: Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract] Cash Flows from Operating Activities: Net Cash Provided by (Used in) Operating Activities, Continuing Operations [Abstract] Net increase in cash and temporary cash investments Net Cash Provided by (Used in) Continuing Operations Net cash provided by operating activities Net Cash Provided by (Used in) Operating Activities, Continuing Operations Net cash used by financing activities Net Cash Provided by (Used in) Financing Activities, Continuing Operations Net cash used by investing activities Net Cash Provided by (Used in) Investing Activities, Continuing Operations Cash Flows from Investing Activities: Net Cash Provided by (Used in) Investing Activities, Continuing Operations [Abstract] Net earnings attributable to The Kroger Co. Net Income (Loss) Attributable to Parent Net earnings attributable to noncontrolling interests Net earnings attributable to noncontrolling interests Net Income (Loss) Attributable to Noncontrolling Interest RECENTLY ADOPTED ACCOUNTING STANDARDS RECENTLY ADOPTED ACCOUNTING STANDARDS New Accounting Pronouncements and Changes in Accounting Principles [Text Block] Senior notes due through 2043 Notes Payable, Other Payables [Member] Interest rate swap agreements, notional amount Notional Amount of Interest Rate Derivatives (Deprecated 2013-01-31) Number of segments Number of Reportable Segments Noncontrolling Interest Noncontrolling Interest [Member] Derivative Liabilities Offsetting Derivative Liabilities [Abstract] Derivative Assets Offsetting Derivative Assets [Abstract] Operating Leases, Thereafter Operating Leases, Future Minimum Payments, Due Thereafter Operating Leases, Future minimum annual rentals and payments Operating Leases, Future Minimum Payments Due, Fiscal Year Maturity 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stock outstanding Schedule of Share-based Compensation, Restricted Stock Units Award Activity [Table Text Block] Change in benefit obligations, plan assets, and the funded status of the plans recorded in the Consolidated Balance Sheets for benefit plans Schedule of Net Funded Status [Table Text Block] Schedule of rent expense (under operating leases) Schedule of Rent Expense [Table Text Block] Amounts recognized in AOCI (pre-tax) Schedule of Net Periodic Benefit Cost Not yet Recognized [Table Text Block] Fair values of defined benefit pension plan assets Schedule of Allocation of Plan Assets [Table Text Block] Summary of weighted average assumptions used for grants awarded to option holders Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block] Provision for income taxes Schedule of Components of Income Tax Expense (Benefit) [Table Text Block] Reconciliation of beginning and ending balances for measurements using significant unobservable inputs (Level 3) Schedule of Effect of Significant Unobservable Inputs, Changes in Plan Assets [Table Text Block] Aggregate annual maturities and scheduled payments of long-term debt Schedule of Maturities of Long-term Debt [Table Text Block] Reconciliation of the statutory federal rate and the effective rate Schedule of Effective Income Tax Rate Reconciliation [Table Text Block] Significant temporary differences that comprise tax balances Schedule of Deferred Tax Assets and Liabilities [Table Text Block] Amounts in AOCI expected to be recognized as components of net periodic pension or postretirement benefit costs over the next fiscal year (pre-tax) Schedule of Amounts in Accumulated Other Comprehensive Income (Loss) to be Recognized over Next Fiscal Year [Table Text Block] Schedule of Quarterly Data (unaudited) Schedule of Quarterly Financial Information [Table Text Block] Effects of one-percentage-point change in assumed health care cost trend rates Schedule of Effect of One-Percentage-Point Change in Assumed Health Care Cost Trend Rates [Table Text Block] Schedule of earnings per common and diluted shares Schedule of Earnings Per Share, Basic and Diluted [Table Text Block] Schedule of effect of derivative instruments designated as cash flow hedges Schedule of Cash Flow Hedges Included in Accumulated Other Comprehensive Income (Loss) [Table Text Block] Schedule of gains or losses on fair value hedges and hedged items and the fair value of derivative instruments designated as fair value hedges Schedule of Fair Value Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block] Schedule of multi-employer contributions Schedule of Multiemployer Plans [Table Text Block] Schedule of Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block] Other changes recognized in other comprehensive income (pre-tax) Weighted-average assumptions used in determining the benefit obligation and net periodic 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SHAREOWNERS' EQUITY CONSOLIDATED STATEMENTS OF CASH FLOWS Equity Components [Axis] CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME CONSOLIDATED BALANCE SHEETS Stock Issued During Period, Shares, Period Increase (Decrease) Stock Issued During Period, Shares, Period Increase (Decrease) Stock options exercised Stock Issued During Period, Value, Stock Options Exercised Stock option compensation Stock or Unit Option Plan Expense Stock options exercised (in shares) Stock options exercised (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period SHAREOWNERS' EQUITY Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest [Abstract] Other Other Stockholders' Equity, Other Stockholders' Equity Period Increase (Decrease) Stockholders' Equity, Period Increase (Decrease) Total Shareowners' Equity - The Kroger Co. 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COMMITMENTS AND CONTINGENCIES
9 Months Ended
Nov. 09, 2013
COMMITMENTS AND CONTINGENCIES  
COMMITMENTS AND CONTINGENCIES

8.              COMMITMENTS AND CONTINGENCIES

 

The Company continuously evaluates contingencies based upon the best available evidence.

 

The Company believes that allowances for loss have been provided to the extent necessary and that its assessment of contingencies is reasonable.  To the extent that resolution of contingencies results in amounts that vary from the Company’s estimates, future earnings will be charged or credited.

 

Litigation — Various claims and lawsuits arising in the normal course of business, including suits charging violations of certain antitrust, wage and hour, or civil rights laws, are pending against the Company.  Some of these suits purport or have been determined to be class actions and/or seek substantial damages.  Any damages that may be awarded in antitrust cases will be automatically trebled.  Although it is not possible at this time to evaluate the merits of all of these claims and lawsuits, nor their likelihood of success, the Company is of the belief that any resulting liability will not have a material adverse effect on the Company’s financial position, results of operations, or cash flows.

 

The Company continually evaluates its exposure to loss contingencies arising from pending or threatened litigation and believes it has made provisions where it is reasonably possible to estimate and where an adverse outcome is probable.  Nonetheless, assessing and predicting the outcomes of these matters involve substantial uncertainties.  Management currently believes that the aggregate range of loss for the Company’s exposure is not material to the Company.  It remains possible that despite management’s current belief, material differences in actual outcomes or changes in management’s evaluation or predictions could arise that could have a material adverse effect on the Company’s financial condition, results of operations, or cash flows.

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CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME        
Unrealized gain on available for sale securities, income tax     $ 2  
Amortization of amounts included in net periodic pension expense, income tax 9 8 29 27
Unrealized loss on cash flow hedging activities, income tax (3) 2 (8) (7)
Amortization of unrealized gains and losses on cash flow hedging activities, income tax $ 1   $ 1  

XML 16 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACCOUNTING POLICIES
9 Months Ended
Nov. 09, 2013
ACCOUNTING POLICIES  
ACCOUNTING POLICIES

1.              ACCOUNTING POLICIES

 

Basis of Presentation and Principles of Consolidation

 

The accompanying financial statements include the consolidated accounts of The Kroger Co., its wholly-owned subsidiaries, and the Variable Interest Entities (“VIEs”) in which the Company is the primary beneficiary.  The February 2, 2013 balance sheet was derived from audited financial statements and, due to its summary nature, does not include all disclosures required by generally accepted accounting principles (“GAAP”).  Significant intercompany transactions and balances have been eliminated.  References to the “Company” in these Consolidated Financial Statements mean the consolidated company.

 

In the opinion of management, the accompanying unaudited Consolidated Financial Statements include all normal, recurring adjustments that are necessary for a fair presentation of results of operations for such periods but should not be considered as indicative of results for a full year.  The financial statements have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”).  Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been omitted, pursuant to SEC regulations.  Accordingly, the accompanying Consolidated Financial Statements should be read in conjunction with the financial statements in the Annual Report on Form 10-K of The Kroger Co. for the fiscal year ended February 2, 2013.

 

The unaudited information in the Consolidated Financial Statements for the third quarter and the three quarters ended November 9, 2013 and November 3, 2012, includes the results of operations of the Company for the 12 and 40-week periods then ended.

XML 17 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 18 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCK OPTION PLANS (Tables)
9 Months Ended
Nov. 09, 2013
STOCK OPTION PLANS  
Summary of changes in stock options outstanding

 

 

 

 

Shares subject
to option

 

Weighted-average
exercise price

 

Outstanding, February 2, 2013 

 

26.5

 

$

22.61

 

Granted 

 

4.2

 

$

37.65

 

Exercised 

 

(8.4

)

$

22.25

 

Canceled or Expired 

 

(0.2

)

$

24.81

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

22.1

 

$

25.55

 

Summary of changes in restricted stock outstanding

 

 

 

Restricted shares
outstanding

 

Weighted-average
grant-date fair value

 

Outstanding, February 2, 2013 

 

4.3

 

$

22.67

 

Granted 

 

2.6

 

$

37.62

 

Vested 

 

(2.5

)

$

22.90

 

Forfeited

 

(0.1

)

$

26.01

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

4.3

 

$

31.47

 

Summary of weighted average assumptions used for grants awarded to option holders

 

 

 

 

2013

 

2012

Risk-free interest rate

 

1.87%

 

0.97%

Expected dividend yield

 

1.82%

 

2.49%

Expected volatility

 

26.34%

 

26.49%

Expected term

 

6.8 Years

 

6.9 Years

XML 19 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE FINANCIAL INSTRUMENTS
9 Months Ended
Nov. 09, 2013
DERIVATIVE FINANCIAL INSTRUMENTS  
DERIVATIVE FINANCIAL INSTRUMENTS

9.              DERIVATIVE FINANCIAL INSTRUMENTS

 

GAAP defines derivatives, requires that derivatives be carried at fair value on the balance sheet, and provides for hedge accounting when certain conditions are met.  The Company’s derivative financial instruments are recognized on the balance sheet at fair value.  Changes in the fair value of derivative instruments designated as “cash flow” hedges, to the extent the hedges are highly effective, are recorded in other comprehensive income, net of tax effects.  Ineffective portions of cash flow hedges, if any, are recognized in current period earnings.  Other comprehensive income or loss is reclassified into current period earnings when the hedged transaction affects earnings.  Changes in the fair value of derivative instruments designated as “fair value” hedges, along with corresponding changes in the fair value of the hedged assets or liabilities, are recorded in current period earnings.  Ineffective portions of fair value hedges, if any, are recognized in current period earnings.

 

The Company assesses, both at the inception of the hedge and on an ongoing basis, whether derivatives used as hedging instruments are highly effective in offsetting the changes in the fair value or cash flow of the hedged items.  If it is determined that a derivative is not highly effective as a hedge or ceases to be highly effective, the Company discontinues hedge accounting prospectively.

 

Interest Rate Risk Management

 

The Company is exposed to market risk from fluctuations in interest rates.  The Company manages its exposure to interest rate fluctuations through the use of interest rate swaps (fair value hedges) and forward-starting interest rate swaps (cash flow hedges).  The Company’s current program relative to interest rate protection contemplates hedging the exposure to changes in the fair value of fixed-rate debt attributable to changes in interest rates.  To do this, the Company uses the following guidelines: (i) use average daily outstanding borrowings to determine annual debt amounts subject to interest rate exposure, (ii) limit the average annual amount subject to interest rate reset and the amount of floating rate debt to a combined total of $2,500 or less, (iii) include no leveraged products, and (iv) hedge without regard to profit motive or sensitivity to current mark-to-market status.

 

Annually, the Company reviews with the Financial Policy Committee of the Board of Directors compliance with these guidelines.  These guidelines may change as the Company’s needs dictate.

 

Fair Value Interest Rate Swaps

 

The table below summarizes the outstanding interest rate swaps designated as fair value hedges as of November 9, 2013 and February 2, 2013.

 

 

 

November 9, 2013

 

February 2, 2013

 

 

 

Pay
Floating

 

Pay
Fixed

 

Pay
Floating

 

Pay
Fixed

 

Notional amount

 

$

100

 

$

 

$

475

 

$

 

Number of contracts

 

2

 

 

6

 

 

Duration in years

 

5.17

 

 

1.41

 

 

Average variable rate

 

5.84

%

 

3.29

%

 

Average fixed rate

 

6.80

%

 

5.38

%

 

Maturity

 

December 2018

 

Between April 2013 and December 2018

 

 

During the first quarter of 2013, four of the Company’s fair value swaps, with a notional amount aggregating $375, matured.

 

The gain or loss on these derivative instruments as well as the offsetting gain or loss on the hedged items attributable to the hedged risk is recognized in current income as “Interest expense.”  These gains and losses for the third quarters and first three quarters of 2013 and 2012 were as follows:

 

 

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

1

 

$

(2

)

$

(4

)

$

4

 

 

 

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

(4

)

$

3

 

$

(18

)

$

14

 

 

The following table summarizes the location and fair value of derivative instruments designated as fair value hedges on the Company’s Consolidated Balance Sheets:

 

 

 

Asset Derivatives

 

 

 

Fair Value

 

 

 

Derivatives Designated as Fair Value Hedging Instruments

 

November 9,
2013

 

February 2,
2013

 

Balance Sheet Location

 

Interest Rate Hedges

 

$

(3

)

$

1

 

(Other Long-Term Liabilities)/Other Assets

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

As of November 9, 2013, the Company had 5 forward-starting interest rate swap agreements with maturity dates of January 2014 with an aggregate notional amount totaling $250.  A forward-starting interest rate swap is an agreement that effectively hedges the variability in future benchmark interest payments attributable to changes in interest rates on the forecasted issuance of fixed-rate debt.  The Company entered into these forward-starting interest rate swaps in order to lock in fixed interest rates on its forecasted issuances of debt in fiscal year 2013.  Accordingly, the forward-starting interest rate swaps were designated as cash-flow hedges as defined by GAAP.  As of November 9, 2013, the fair value of the interest rate swaps was recorded in other assets for $18 and accumulated other comprehensive income (“AOCI”) for $11 net of tax.

 

As of February 2, 2013, the Company had 17 forward-starting interest rate swap agreements with maturity dates between April 2013 and January 2014 with an aggregate notional amount totaling $850.  In 2012, the Company entered into 7 of these forward-starting interest rate swap agreements with an aggregate notional amount totaling $350.  The Company entered into the forward-starting interest rate swaps in order to lock in fixed interest rates on its forecasted issuances of debt in fiscal year 2013.  Accordingly, the forward-starting interest rate swaps were designated as cash-flow hedges as defined by GAAP.  As of February 2, 2013, the fair value of the interest rate swaps was recorded in other assets and other long-term liabilities for $14 and $9, respectively, and AOCI and accumulated other comprehensive loss for $9 net of tax and $6 net of tax, respectively.

 

During the first quarter of 2013, the Company terminated 12 forward-starting interest rate swap agreements with maturity dates of April 2013 with an aggregate notional amount totaling $600.  In addition, in the first quarter of 2013, the Company entered into and terminated 7 forward-starting interest rate swap agreements with an aggregate notional amount totaling $600.  These 19 forward-starting interest rate swap agreements were hedging the variability in future benchmark interest payments attributable to changing interest rates on $600 of fixed-rate debt that the Company anticipated issuing at the time.  As discussed in Note 3, the Company issued $1,000 of senior notes in the second quarter of 2013.  Since these forward-starting interest rate swap agreements were classified as cash flow hedges, the unamortized loss of $32, $20 net of tax, is deferred in accumulated other comprehensive loss and will be amortized to earnings as interest payments are made on the related debt.

 

The following tables summarize the effect of the Company’s derivative instruments designated as cash flow hedges for the third quarters and first three quarters of 2013 and 2012:

 

 

 

Third Quarter Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

 

$

(1

)

Interest expense

 

 

*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

 

 

 

Three Quarters Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

(1

)

$

(3

)

Interest expense

 

 

*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

 

For the above fair value and cash flow interest rate swaps, the Company has entered into International Swaps and Derivatives Association master netting agreements that permit the net settlement of amounts owed under their respective derivative contracts.  Under these master netting agreements, net settlement generally permits the Company or the counterparty to determine the net amount payable for contracts due on the same date and in the same currency for similar types of derivative transactions.  These master netting agreements generally also provide for net settlement of all outstanding contracts with a counterparty in the case of an event of default or a termination event.

 

Collateral is generally not required of the counterparties or of the Company under these master netting agreements. As of November 9, 2013 and February 2, 2013, no cash collateral was received or pledged under the master netting agreements.

 

The effect of the net settlement provisions of these master netting agreements on the Company’s derivative balances upon an event of default or termination event is as follows as of November 9, 2013 and February 2, 2013:

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

November 9, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

18

 

$

 

$

18

 

$

 

$

 

$

18

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Fair Value Interest Rate Swaps

 

$

3

 

$

 

$

3

 

$

 

$

 

$

3

 

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

February 2, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

16

 

$

(2

)

$

14

 

$

 

$

 

$

14

 

Fair Value Interest Rate Swaps

 

1

 

 

1

 

 

 

1

 

Total

 

$

17

 

$

(2

)

$

15

 

$

 

$

 

$

15

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

11

 

$

(2

)

$

9

 

$

 

$

 

$

9

 

 

Commodity Price Protection

 

The Company enters into purchase commitments for various resources, including raw materials utilized in its manufacturing facilities and energy to be used in its stores, warehouses, manufacturing facilities and administrative offices.  The Company enters into commitments expecting to take delivery of and to utilize those resources in the conduct of normal business.  Those commitments for which the Company expects to utilize or take delivery in a reasonable amount of time in the normal course of business qualify as normal purchases and normal sales.

XML 20 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER COMPREHENSIVE INCOME (LOSS) (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
Other comprehensive income (loss)        
Balance at the beginning of the period     $ (753)  
OCI before reclassifications     (8)  
Amounts reclassified out of AOCI     48  
Total other comprehensive income 11 17 40 36
Balance at the end of the period (713)   (713)  
OCI before reclassifications, tax (3) 2 (8) (7)
Cash Flow Hedging Activities
       
Other comprehensive income (loss)        
Balance at the beginning of the period     (14)  
OCI before reclassifications     (11)  
Amounts reclassified out of AOCI     1  
Total other comprehensive income     (10)  
Balance at the end of the period (24)   (24)  
OCI before reclassifications, tax     (8)  
Available for sale Securities
       
Other comprehensive income (loss)        
Balance at the beginning of the period     7  
OCI before reclassifications     3  
Total other comprehensive income     3  
Balance at the end of the period 10   10  
OCI before reclassifications, tax     2  
Pension and Postretirement Defined Benefit Plans
       
Other comprehensive income (loss)        
Balance at the beginning of the period     (746)  
Amounts reclassified out of AOCI     47  
Total other comprehensive income     47  
Balance at the end of the period $ (699)   $ (699)  
XML 21 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER COMMON SHARE (Tables)
9 Months Ended
Nov. 09, 2013
EARNINGS PER COMMON SHARE  
Schedule of earnings per common and diluted shares

 

 

 

 

Third Quarter Ended

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

297

 

515

 

$

0.58

 

$

314

 

518

 

$

0.61

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

297

 

521

 

$

0.57

 

$

314

 

522

 

$

0.60

 

 

 

 

Three Quarters Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

1,088

 

515

 

$

2.11

 

$

1,027

 

539

 

$

1.90

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

1,088

 

521

 

$

2.09

 

$

1,027

 

543

 

$

1.89

 

XML 22 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
BENEFIT PLANS (Tables)
9 Months Ended
Nov. 09, 2013
BENEFIT PLANS  
Schedule of components of net periodic benefit cost

 

 

 

 

Third Quarter Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

10

 

$

11

 

$

4

 

$

4

 

Interest cost 

 

35

 

36

 

3

 

3

 

Expected return on plan assets 

 

(52

)

(49

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(1

)

(1

)

Actuarial loss 

 

24

 

22

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

17

 

$

20

 

$

6

 

$

6

 

 

 

 

 

Three Quarters Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

33

 

$

36

 

$

13

 

$

13

 

Interest cost 

 

118

 

120

 

12

 

12

 

Expected return on plan assets 

 

(173

)

(162

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(3

)

(3

)

Actuarial loss 

 

79

 

74

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

57

 

$

68

 

$

22

 

$

22

 

XML 23 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER COMMON SHARE (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
EARNINGS PER COMMON SHARE        
Net earnings attributable to The Kroger Co. per basic common share $ 297 $ 314 $ 1,088 $ 1,027
Average number of common shares used in basic calculation 515 518 515 539
Net earnings attributable to The Kroger Co. per basic common share (in dollars per share) $ 0.58 $ 0.61 $ 2.11 $ 1.90
Dilutive effect of stock options (in shares) 6 4 6 4
Net earnings attributable to The Kroger Co. per diluted common share 297 314 1,088 1,027
Average number of common shares used in diluted calculation 521 522 521 543
Net earnings attributable to The Kroger Co. per diluted common share (in dollars per share) $ 0.57 $ 0.60 $ 2.09 $ 1.89
Undistributed and distributed earnings to participating securities $ 2 $ 3 $ 9 $ 8
Shares excluded from the earnings per share calculation due to anti-dilutive effect on earnings per share 4 14 2 12
XML 24 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES (Details)
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
INCOME TAXES        
Effective income tax rate (as a percent) 29.30% 35.50% 33.90% 34.80%
XML 25 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCK OPTION PLANS (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
STOCK OPTION PLANS        
Stock-based employee compensation $ 31 $ 20 $ 78 $ 61
Stock options
       
Stock-based compensation, expiration, vesting and number of shares available        
Stock options, expiration period from date of grant     10 years  
Stock Options        
Stock options outstanding at the beginning of the period (in shares)     26.5  
Stock options granted (in shares)     4.2  
Stock options exercised (in shares)     (8.4)  
Stock options canceled or expired (in shares)     (0.2)  
Stock options outstanding at the end of the period (in shares) 22.1   22.1  
Weighted-average exercise price        
Weighted-average exercise price outstanding options at the beginning of the period (in dollars per share)     $ 22.61  
Weighted-average exercise price options granted (in dollars per share)     $ 37.65  
Weighted-average exercise price options exercised (in dollars per share)     $ 22.25  
Weighted-average exercise price options canceled or expired (in dollars per share)     $ 24.81  
Weighted-average exercise price outstanding options at the end of the period (in dollars per share) $ 25.55   $ 25.55  
Weighted-average grant-date fair value        
Weighted-average grant date fair value of stock options granted in period (in dollars per share)     $ 8.97 $ 4.37
Weighted average assumptions for grants awarded to option holders        
Risk-free interest rate (as a percent)     1.87% 0.97%
Expected dividend yield (as a percent)     1.82% 2.49%
Expected volatility (as a percent)     26.34% 26.49%
Expected term     6 years 9 months 18 days 6 years 10 months 24 days
Stock options | Minimum
       
Stock-based compensation, expiration, vesting and number of shares available        
Vesting period from date of grant     1 year  
Stock options | Maximum
       
Stock-based compensation, expiration, vesting and number of shares available        
Vesting period from date of grant     5 years  
Restricted stock
       
Restricted Stock        
Restricted shares outstanding at the beginning of the period (in shares)     4.3  
Restricted shares granted (in shares)     2.6  
Restricted shares vested (in shares)     (2.5)  
Restricted shares forfeited (in shares)     (0.1)  
Restricted shares outstanding at the end of the period (in shares) 4.3   4.3  
Weighted-average grant-date fair value        
Weighted-average grant-date fair value, restricted shares outstanding at beginning of the period (in dollars per share)     $ 22.67  
Weighted-average grant-date fair value, restricted shares granted (in dollars per share)     $ 37.62  
Weighted-average grant-date fair value, restricted shares vested (in dollars per share)     $ 22.90  
Weighted-average grant-date fair value, restricted shares forfeited (in dollars per share)     $ 26.01  
Weighted-average grant-date fair value, restricted shares outstanding at the end of the period (in dollars per share) $ 31.47   $ 31.47  
Restricted stock | Minimum
       
Stock-based compensation, expiration, vesting and number of shares available        
Vesting period from date of grant     1 year  
Restricted stock | Maximum
       
Stock-based compensation, expiration, vesting and number of shares available        
Vesting period from date of grant     5 years  
XML 26 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
DEBT OBLIGATIONS (Tables)
9 Months Ended
Nov. 09, 2013
DEBT OBLIGATIONS  
Schedule of long-term debt

 

 

 

 

November 9,

 

February 2,

 

 

 

2013

 

2013

 

2.20% to 8.00% Senior Notes due through 2043 

 

$

7,186

 

$

6,587

 

5.00% to 12.75% Mortgages due in varying amounts through 2034

 

82

 

60

 

0.28% to 0.45% Commercial paper borrowings due through November 2013

 

425

 

1,645

 

Other 

 

185

 

184

 

 

 

 

 

 

 

Total debt, excluding capital leases and financing obligations 

 

7,878

 

8,476

 

 

 

 

 

 

 

Less current portion 

 

(1,087

)

(2,700

)

 

 

 

 

 

 

Total long-term debt, excluding capital leases and financing obligations 

 

$

6,791

 

$

5,776

 

XML 27 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Millions, except Per Share data, unless otherwise specified
Nov. 09, 2013
Feb. 02, 2013
CONSOLIDATED BALANCE SHEETS    
Preferred shares, per share (in dollars per share) $ 100 $ 100
Preferred shares, shares authorized 5 5
Preferred shares, shares unissued 5 5
Common shares, par per share (in dollars per share) $ 1 $ 1
Common shares, shares authorized 1,000 1,000
Common shares, shares issued 959 959
Common shares in treasury, shares 445 445
XML 28 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CHANGES IN SHAREOWNERS' EQUITY (USD $)
In Millions, unless otherwise specified
Total
Common Stock
Additional Paid-In Capital
Treasury Stock
Accumulated Other Comprehensive Gain (Loss)
Accumulated Earnings
Noncontrolling Interest
Balances at Jan. 28, 2012 $ 3,966 $ 959 $ 3,427 $ (8,132) $ (844) $ 8,571 $ (15)
Balances (in shares) at Jan. 28, 2012   959   398      
Issuance of common stock:              
Stock options exercised 72     72      
Stock options exercised (in shares)       (4.0)      
Restricted stock issued (19)   (57) 38      
Restricted stock issued (in shares)       (2)      
Treasury stock activity:              
Treasury stock purchases, at cost (1,137)     (1,137)      
Treasury stock purchases, at cost (in shares)       50      
Stock options exchanged (67)     (67)      
Stock options exchanged (in shares)       3      
Share-based employee compensation 61   61        
Other comprehensive gain net of income tax of $24 in 2013 and $20 in 2012 36       36    
Other 13   3 (2)     12
Cash dividends declared ($0.465 in 2013 and $0.38 in 2012 per common share) (202)         (202)  
Net earnings including noncontrolling interests 1,039         1,035 4
Balances at Nov. 03, 2012 3,762 959 3,434 (9,228) (808) 9,404 1
Balances (in shares) at Nov. 03, 2012   959   445      
Balances at Feb. 02, 2013 4,214 959 3,451 (9,237) (753) 9,787 7
Balances (in shares) at Feb. 02, 2013   959   445      
Issuance of common stock:              
Stock options exercised 186     186      
Stock options exercised (in shares)       (8.0)      
Restricted stock issued (32)   (58) 26      
Restricted stock issued (in shares)       (2)      
Treasury stock activity:              
Treasury stock purchases, at cost (126)     (126)      
Treasury stock purchases, at cost (in shares)       3      
Stock options exchanged (258)     (258)      
Stock options exchanged (in shares)       7      
Share-based employee compensation 78   78        
Other comprehensive gain net of income tax of $24 in 2013 and $20 in 2012 40       40    
Other 17   42 (17)     (8)
Cash dividends declared ($0.465 in 2013 and $0.38 in 2012 per common share) (233)         (233)  
Net earnings including noncontrolling interests 1,104         1,097 7
Balances at Nov. 09, 2013 $ 4,990 $ 959 $ 3,513 $ (9,426) $ (713) $ 10,651 $ 6
Balances (in shares) at Nov. 09, 2013   959   445      
XML 29 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCK OPTION PLANS
9 Months Ended
Nov. 09, 2013
STOCK OPTION PLANS  
STOCK OPTION PLANS

2.  STOCK OPTION PLANS

 

The Company recognized total stock-based compensation of $31 and $20 in the third quarters ended November 9, 2013 and November 3, 2012, respectively.  The Company recognized total stock-based compensation of $78 and $61 in the first three quarters of 2013 and 2012, respectively.  These costs were recognized as operating, general and administrative costs in the Company’s Consolidated Statements of Operations.

 

The Company grants options for common shares (“stock options”) to employees, as well as to its non-employee directors, under various plans at an option price equal to the fair market value of the shares at the date of grant.  In addition to stock options, the Company awards restricted stock to employees and its non-employee directors under various plans.  Beginning in 2013, non-employee directors were awarded incentive shares in lieu of restricted stock and stock options.  Equity awards may be made once each quarter on a predetermined date.  It has been the Company’s practice to make a general annual grant to employees, which occurred in the second quarter of 2013.  Special grants may be made in the other three quarters.  Grants to non-employee directors occur on the same date that the general annual grant to employees occurs.

 

Stock options granted in the first three quarters of 2013 expire 10 years from the date of grant and vest between one year and five years from the date of grant. Restricted stock awards granted in the first three quarters of 2013 have restrictions that lapse between one year and five years from the date of the awards.  All grants and awards become immediately exercisable, in the case of options, and restrictions lapse, in the case of restricted stock, upon certain changes of control of the Company.

 

Changes in equity awards outstanding under the plans are summarized below.

 

Stock Options

 

 

 

Shares subject
to option

 

Weighted-average
exercise price

 

Outstanding, February 2, 2013 

 

26.5

 

$

22.61

 

Granted 

 

4.2

 

$

37.65

 

Exercised 

 

(8.4

)

$

22.25

 

Canceled or Expired 

 

(0.2

)

$

24.81

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

22.1

 

$

25.55

 

 

Restricted Stock

 

 

 

Restricted shares
outstanding

 

Weighted-average
grant-date fair value

 

Outstanding, February 2, 2013 

 

4.3

 

$

22.67

 

Granted 

 

2.6

 

$

37.62

 

Vested 

 

(2.5

)

$

22.90

 

Forfeited

 

(0.1

)

$

26.01

 

 

 

 

 

 

 

Outstanding, November 9, 2013 

 

4.3

 

$

31.47

 

 

The weighted-average grant date fair value of stock options granted during the first three quarters of 2013 and 2012, was $8.97 and $4.37, respectively.  The fair value of each stock option grant was estimated on the date of grant using the Black-Scholes option-pricing model, based on the assumptions shown in the table below.  The Black-Scholes model utilizes extensive accounting judgment and financial estimates, including the term option holders are expected to retain their stock options before exercising them, the volatility of the Company’s stock price over that expected term, the dividend yield over the term, and the number of awards expected to be forfeited before they vest.  Using alternative assumptions in the calculation of fair value would produce fair values for stock option grants that could be different than those used to record stock-based compensation expense in the Consolidated Statements of Operations.  The increase in the fair value of the stock options granted during the first three quarters of 2013, compared to the first three quarters of 2012, resulted primarily from an increase in the Company’s share price, which decreased the expected dividend yield and an increase in the weighted average risk-free interest rate.

 

The following table reflects the weighted average assumptions used for grants awarded to option holders:

 

 

 

2013

 

2012

Risk-free interest rate

 

1.87%

 

0.97%

Expected dividend yield

 

1.82%

 

2.49%

Expected volatility

 

26.34%

 

26.49%

Expected term

 

6.8 Years

 

6.9 Years

XML 30 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CHANGES IN SHAREOWNERS' EQUITY (Parenthetical) (USD $)
In Millions, except Per Share data, unless otherwise specified
9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
CONSOLIDATED STATEMENTS OF CHANGES IN SHAREOWNERS' EQUITY    
Other comprehensive gain, income tax $ 24 $ 20
Cash dividends declared per common share (in dollars per share) $ 0.465 $ 0.380
XML 31 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
POTENTIAL MERGER (Details) (Potential Merger, USD $)
In Millions, unless otherwise specified
3 Months Ended
Aug. 17, 2013
Unsecured revolving credit facility
 
Potential merger  
Existing unsecured revolving credit facility $ 2,000
Bridge Loan Agreement
 
Potential merger  
Maximum borrowing capacity 850
Maturity period of bridge loan after closing 364 days
Percentage of funding fee paid to each lender of such lender's loan advance on the closing date of the financing 0.50%
Annual ticking fee (as a percent) 0.15%
Maximum leverage ratio 3.50
Minimum fixed charge coverage ratio 1.70
Bridge Loan Agreement | LIBOR
 
Potential merger  
Debt instrument variable basis rate three-month LIBOR
Increase in applicable margin of interest rate (as a percent) 0.25%
Period of increase in applicable margin in interest rate after funding 90 days
Harris Teeter Supermarkets, Inc.
 
Potential merger  
Merger cost $ 2,500
Harris Teeter Supermarkets, Inc. | Bridge Loan Agreement
 
Potential merger  
Duration fees on loan amounts outstanding on 90th day following the closing (as a percent) 0.50%
Duration fees on loan amounts outstanding on 180th day following the closing (as a percent) 0.75%
Duration fees on loan amounts outstanding on 270th day following the closing (as a percent) 1.00%
XML 32 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Nov. 09, 2013
DERIVATIVE FINANCIAL INSTRUMENTS  
Summary of outstanding interest rate swaps designated as fair value hedges

 

 

 

 

November 9, 2013

 

February 2, 2013

 

 

 

Pay
Floating

 

Pay
Fixed

 

Pay
Floating

 

Pay
Fixed

 

Notional amount

 

$

100

 

$

 

$

475

 

$

 

Number of contracts

 

2

 

 

6

 

 

Duration in years

 

5.17

 

 

1.41

 

 

Average variable rate

 

5.84

%

 

3.29

%

 

Average fixed rate

 

6.80

%

 

5.38

%

 

Maturity

 

December 2018

 

Between April 2013 and December 2018

 

Schedule of gains or losses on fair value hedges and hedged items and the fair value of derivative instruments designated as fair value hedges

 

 

 

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

1

 

$

(2

)

$

(4

)

$

4

 

 

 

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

Income Statement Classification

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Gain/(Loss) on
Swaps

 

Gain/(Loss) on
Borrowings

 

Interest Expense

 

$

(4

)

$

3

 

$

(18

)

$

14

 

 

 

 

 

Asset Derivatives

 

 

 

Fair Value

 

 

 

Derivatives Designated as Fair Value Hedging Instruments

 

November 9,
2013

 

February 2,
2013

 

Balance Sheet Location

 

Interest Rate Hedges

 

$

(3

)

$

1

 

(Other Long-Term Liabilities)/Other Assets

 

Schedule of effect of derivative instruments designated as cash flow hedges

 

 

 

 

Third Quarter Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

 

$

(1

)

Interest expense

 

 

*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

 

 

 

Three Quarters Ended

 

 

 

 

 

Amount of Gain/(Loss) in
AOCI on Derivatives
(Effective Portion)

 

Amount of Gain/(Loss)
Reclassified from AOCI into
Income (Effective Portion)

 

Location of Gain/(Loss)

 

Derivatives in Cash Flow Hedging
Relationships

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Reclassified into Income
(Effective Portion)

 

Forward-Starting Interest Rate Swaps, net of tax*

 

$

(24

)

$

(39

)

$

(1

)

$

(3

)

Interest expense

 

 

*The amounts of Gain/(Loss) in AOCI on derivatives include unamortized proceeds and payments from forward-starting interest rate swaps once classified as cash flow hedges. 

Schedule of effects of master-netting agreements

 

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

November 9, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

18

 

$

 

$

18

 

$

 

$

 

$

18

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Fair Value Interest Rate Swaps

 

$

3

 

$

 

$

3

 

$

 

$

 

$

3

 

 

 

 

 

 

Gross Amounts Offset

 

Net Amount
Presented in the

 

Gross Amounts Not Offset in the
Statement of Financial Position

 

 

 

February 2, 2013

 

Gross Amount
Recognized

 

in the Statement of
Financial Position

 

Statement of
Financial Position

 

Financial
Instruments

 

Cash Collateral

 

Net Amount

 

Assets

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

16

 

$

(2

)

$

14

 

$

 

$

 

$

14

 

Fair Value Interest Rate Swaps

 

1

 

 

1

 

 

 

1

 

Total

 

$

17

 

$

(2

)

$

15

 

$

 

$

 

$

15

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Forward-Starting Interest Rate Swaps

 

$

11

 

$

(2

)

$

9

 

$

 

$

 

$

9

 

XML 33 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
DEBT OBLIGATIONS (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended 12 Months Ended 9 Months Ended 12 Months Ended 4 Months Ended 9 Months Ended 12 Months Ended
Nov. 09, 2013
Aug. 17, 2013
Feb. 02, 2013
Nov. 09, 2013
Commercial paper borrowings due through November 2013
Feb. 02, 2013
Commercial paper borrowings due through November 2013
Nov. 09, 2013
Senior notes due through 2043
Feb. 02, 2013
Senior notes due through 2043
May 25, 2013
Senior notes 5.00%
Aug. 17, 2013
Senior notes 3.85% due 2023
Aug. 17, 2013
Senior notes 5.15% due 2043
Nov. 09, 2013
Mortgages due in varying amounts through 2034
Feb. 02, 2013
Mortgages due in varying amounts through 2034
Nov. 09, 2013
Other
Feb. 02, 2013
Other
Debt                            
Total debt, excluding capital leases and financing obligations $ 7,878   $ 8,476 $ 425 $ 1,645 $ 7,186 $ 6,587       $ 82 $ 60 $ 185 $ 184
Less current portion (1,087)   (2,700)                      
Total long-term debt, excluding capital leases and financing obligations 6,791   5,776                      
Interest rate, minimum range (as a percent)       0.28% 0.28% 2.20% 2.20%       5.00% 5.00%    
Interest rate, maximum range (as a percent)       0.45% 0.45% 8.00% 8.00%       12.75% 12.75%    
Repayment of debt       1,220       400            
Interest rate of debt repaid (as a percent)               5.00%            
Issuance of senior notes   $ 1,000             $ 600 $ 400        
Interest rate of additional borrowings (as a percent)                 3.85% 5.15%        
XML 34 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Carrying Value
Feb. 02, 2013
Carrying Value
Nov. 09, 2013
Carrying Value
Before impairment
Nov. 03, 2012
Carrying Value
Before impairment
Nov. 09, 2013
Significant Unobservable Inputs (Level 3)
Feb. 02, 2013
Significant Unobservable Inputs (Level 3)
Nov. 09, 2013
Fair value
Feb. 02, 2013
Fair value
Nov. 03, 2012
Fair value
May 25, 2013
Recurring
Nov. 09, 2013
Recurring
Quoted Prices in Active Markets for Identical Assets (Level 1)
Feb. 02, 2013
Recurring
Quoted Prices in Active Markets for Identical Assets (Level 1)
Nov. 09, 2013
Recurring
Significant Other Observable Inputs (Level 2)
Feb. 02, 2013
Recurring
Significant Other Observable Inputs (Level 2)
Nov. 09, 2013
Recurring
Significant Other Observable Inputs (Level 2)
Interest Rate Hedges
Feb. 02, 2013
Recurring
Significant Other Observable Inputs (Level 2)
Interest Rate Hedges
Feb. 02, 2013
Recurring
Significant Unobservable Inputs (Level 3)
Nov. 09, 2013
Recurring
Fair value
Feb. 02, 2013
Recurring
Fair value
Nov. 09, 2013
Recurring
Fair value
Interest Rate Hedges
Feb. 02, 2013
Recurring
Fair value
Interest Rate Hedges
Nov. 09, 2013
Nonrecurring
Significant Unobservable Inputs (Level 3)
Feb. 02, 2013
Nonrecurring
Significant Unobservable Inputs (Level 3)
Fair value of financial instruments carried at fair value                                                  
Available-for-Sale Securities                         $ 33 $ 8         $ 20 $ 33 $ 28        
Warrants                             13         13          
Long-Lived Assets         48 14     18 8 4                         18 8
Interest Rate Hedges                                 15 6       15 6    
Total             18 28 79 42     33 8 28 6                  
Assets transferred from Level 3 to Level 1                       20                          
Unrealized gains on available-for-sale securities                         5                        
Total debt     7,878 8,476         8,440 9,339                              
Other assets     52 44         52 44                              
Asset impairment charge $ 30 $ 10                                              
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CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME        
Net earnings including noncontrolling interests $ 301 $ 318 $ 1,104 $ 1,039
Other comprehensive income        
Unrealized gain (loss) on available for sale securities, net of income tax (1) [1]   3 [1]  
Amortization of amounts included in net periodic pension expense, net of income tax 14 [2] 13 [2] 47 [2] 44 [2]
Unrealized gains and losses on cash flow hedging activities, net of income tax (2) [3] 3 [3] (11) [3] (11) [3]
Amortization of unrealized gains and losses on cash flow hedging activities, net of income tax   1 [4] 1 [4] 3 [4]
Total other comprehensive income 11 17 40 36
Comprehensive income 312 335 1,144 1,075
Comprehensive income attributable to noncontrolling interests 2 1 7 4
Comprehensive income attributable to The Kroger Co. $ 310 $ 334 $ 1,137 $ 1,071
[1] Amount is net of tax of $2 for the first three quarters of 2013.
[2] Amount is net of tax of $9 for the third quarter of 2013 and $8 for the third quarter of 2012. Amount is net of tax of $29 for the first three quarters of 2013 and $27 for the first three quarters of 2012.
[3] Amount is net of tax of $(3) for the third quarter of 2013 and $2 for the third quarter of 2012. Amount is net of tax of $(8) for the first three quarters of 2013 and $(7) for the first three quarters of 2012.
[4] Amount is net of tax of $1 for the third quarter and the first three quarters of 2013.
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EARNINGS PER COMMON SHARE
9 Months Ended
Nov. 09, 2013
EARNINGS PER COMMON SHARE  
EARNINGS PER COMMON SHARE

5.              EARNINGS PER COMMON SHARE

 

Net earnings attributable to The Kroger Co. per basic common share equal net earnings attributable to The Kroger Co. less income allocated to participating securities divided by the weighted average number of common shares outstanding. Net earnings attributable to The Kroger Co. per diluted common share equal net earnings attributable to The Kroger Co. less income allocated to participating securities divided by the weighted average number of common shares outstanding, after giving effect to dilutive stock options. The following table provides a reconciliation of net earnings attributable to The Kroger Co. and shares used in calculating net earnings attributable to The Kroger Co. per basic common share to those used in calculating net earnings attributable to The Kroger Co. per diluted common share:

 

 

 

Third Quarter Ended

 

Third Quarter Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

297

 

515

 

$

0.58

 

$

314

 

518

 

$

0.61

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

297

 

521

 

$

0.57

 

$

314

 

522

 

$

0.60

 

 

 

 

Three Quarters Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 3, 2012

 

 

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Earnings
(Numerator)

 

Shares
(Denominator)

 

Per Share
Amount

 

Net earnings attributable to The Kroger Co. per basic common share 

 

$

1,088

 

515

 

$

2.11

 

$

1,027

 

539

 

$

1.90

 

Dilutive effect of stock options

 

 

 

6

 

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net earnings attributable to The Kroger Co. per diluted common share 

 

$

1,088

 

521

 

$

2.09

 

$

1,027

 

543

 

$

1.89

 

 

The Company had combined undistributed and distributed earnings to participating securities totaling $2 in the third quarter of 2013 and $3 in the third quarter of 2012.  For the first three quarters of 2013 and 2012, the Company had combined undistributed and distributed earnings to participating securities of $9 and $8, respectively.

 

The Company had options outstanding for approximately 4 and 14 shares during the third quarters of 2013 and 2012, respectively, which were excluded from the computations of earnings per diluted common share because their inclusion would have had an anti-dilutive effect on earnings per share.  The Company had options outstanding for approximately 2 shares in the first three quarters of 2013 and 12 shares in the first three quarters of 2012 that were excluded from the computations of earnings per diluted common share because their inclusion would have had an anti-dilutive effect on earnings per share.

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CONSOLIDATED BALANCE SHEETS (USD $)
In Millions, unless otherwise specified
Nov. 09, 2013
Feb. 02, 2013
Current assets    
Cash and temporary cash investments $ 344 $ 238
Store deposits in-transit 881 955
Receivables 1,044 1,051
FIFO inventory 6,768 6,244
LIFO reserve (1,140) (1,098)
Prepaid and other current assets 315 569
Total current assets 8,212 7,959
Property, plant and equipment, net 15,456 14,849
Goodwill 1,234 1,234
Other assets 578 593
Total Assets 25,480 24,635
Current liabilities    
Current portion of long-term debt including obligations under capital leases and financing obligations 1,122 2,734
Trade accounts payable 4,941 4,484
Accrued salaries and wages 1,047 1,017
Deferred income taxes 284 284
Other current liabilities 2,799 2,538
Total current liabilities 10,193 11,057
Long-term debt including obligations under capital leases and financing obligations    
Face-value of long-term debt including obligations under capital leases and financing obligations 7,148 6,141
Adjustment to reflect fair-value interest rate hedges   4
Long-term debt including obligations under capital leases and financing obligations 7,148 6,145
Deferred income taxes 816 800
Pension and postretirement benefit obligations 1,207 1,291
Other long-term liabilities 1,126 1,128
Total Liabilities 20,490 20,421
Commitments and contingencies (see Note 8)      
SHAREOWNERS' EQUITY    
Preferred shares, $100 per share, 5 shares authorized and unissued      
Common shares, $1 par per share, 1,000 shares authorized; 959 shares issued in 2013 and 2012 959 959
Additional paid-in capital 3,513 3,451
Accumulated other comprehensive loss (713) (753)
Accumulated earnings 10,651 9,787
Common shares in treasury, at cost, 445 shares in 2013 and 2012 (9,426) (9,237)
Total Shareowners' Equity - The Kroger Co. 4,984 4,207
Noncontrolling interests 6 7
Total Equity 4,990 4,214
Total Liabilities and Equity $ 25,480 $ 24,635
XML 40 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
CONSOLIDATED STATEMENTS OF OPERATIONS        
Sales $ 22,505 $ 21,807 $ 75,270 $ 72,598
Merchandise costs, including advertising, warehousing, and transportation, excluding items shown separately below 17,889 17,383 59,832 57,757
Operating, general and administrative 3,549 3,305 11,664 11,161
Rent 138 141 466 471
Depreciation 395 382 1,301 1,265
Operating profit 534 596 2,007 1,944
Interest expense 108 103 336 350
Earnings before income tax expense 426 493 1,671 1,594
Income tax expense 125 175 567 555
Net earnings including noncontrolling interests 301 318 1,104 1,039
Net earnings attributable to noncontrolling interests 2 1 7 4
Net earnings attributable to The Kroger Co. $ 299 $ 317 $ 1,097 $ 1,035
Net earnings attributable to The Kroger Co. per basic common share (in dollars per share) $ 0.58 $ 0.61 $ 2.11 $ 1.90
Average number of common shares used in basic calculation (in shares) 515 518 515 539
Net earnings attributable to The Kroger Co. per diluted common share (in dollars per share) $ 0.57 $ 0.60 $ 2.09 $ 1.89
Average number of common shares used in diluted calculation (in shares) 521 522 521 543
Dividends declared per common share (in dollars per share) $ 0.165 $ 0.150 $ 0.465 $ 0.380
XML 41 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Nov. 09, 2013
FAIR VALUE MEASUREMENTS  
Summary of fair value measurements

 

 

November 9, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

33

 

$

 

$

 

$

33

 

Warrants

 

 

13

 

 

13

 

Long-Lived Assets

 

 

 

18

 

18

 

Interest Rate Hedges

 

 

15

 

 

15

 

Total

 

$

33

 

$

28

 

$

18

 

$

79

 

 

February 2, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

8

 

$

 

$

20

 

$

28

 

Long-Lived Assets

 

 

 

8

 

8

 

Interest Rate Hedges

 

 

6

 

 

6

 

Total

 

$

8

 

$

6

 

$

28

 

$

42

 

XML 42 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACCOUNTING POLICIES (Policies)
9 Months Ended
Nov. 09, 2013
ACCOUNTING POLICIES  
Basis of Presentation and Principles of Consolidation

Basis of Presentation and Principles of Consolidation

 

The accompanying financial statements include the consolidated accounts of The Kroger Co., its wholly-owned subsidiaries, and the Variable Interest Entities (“VIEs”) in which the Company is the primary beneficiary.  The February 2, 2013 balance sheet was derived from audited financial statements and, due to its summary nature, does not include all disclosures required by generally accepted accounting principles (“GAAP”).  Significant intercompany transactions and balances have been eliminated.  References to the “Company” in these Consolidated Financial Statements mean the consolidated company.

 

In the opinion of management, the accompanying unaudited Consolidated Financial Statements include all normal, recurring adjustments that are necessary for a fair presentation of results of operations for such periods but should not be considered as indicative of results for a full year.  The financial statements have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”).  Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been omitted, pursuant to SEC regulations.  Accordingly, the accompanying Consolidated Financial Statements should be read in conjunction with the financial statements in the Annual Report on Form 10-K of The Kroger Co. for the fiscal year ended February 2, 2013.

 

The unaudited information in the Consolidated Financial Statements for the third quarter and the three quarters ended November 9, 2013 and November 3, 2012, includes the results of operations of the Company for the 12 and 40-week periods then ended.

XML 43 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER COMPREHENSIVE INCOME (LOSS) (Details 2) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
Nov. 03, 2012
Reclassification out of AOCI and the related tax effects        
Amortization of unrealized gains and losses on cash flow hedging activities $ (108) $ (103) $ (336) $ (350)
Tax expense (125) (175) (567) (555)
Net earnings attributable to The Kroger Co. 299 317 1,097 1,035
Reclassification out of AOCI
       
Reclassification out of AOCI and the related tax effects        
Net earnings attributable to The Kroger Co. 14   48  
Reclassification out of AOCI | Gains on cash flow hedging activities
       
Reclassification out of AOCI and the related tax effects        
Amortization of unrealized gains and losses on cash flow hedging activities 1   2  
Tax expense (1)   (1)  
Net earnings attributable to The Kroger Co.     1  
Reclassification out of AOCI | Pension and postretirement defined benefit plan items
       
Reclassification out of AOCI and the related tax effects        
Amortization of amounts included in net periodic pension expense 23   76  
Tax expense (9)   (29)  
Net earnings attributable to The Kroger Co. $ 14   $ 47  
XML 44 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE FINANCIAL INSTRUMENTS (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 9 Months Ended 12 Months Ended 3 Months Ended 9 Months Ended 9 Months Ended 12 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Nov. 09, 2013
item
Nov. 03, 2012
Aug. 17, 2013
Feb. 02, 2013
Nov. 09, 2013
Fair value hedges
Interest rate swaps
Feb. 02, 2013
Fair value hedges
Interest rate swaps
Nov. 09, 2013
Cash flow hedges
Forward-starting interest rate swaps
Feb. 02, 2013
Cash flow hedges
Forward-starting interest rate swaps
Nov. 03, 2012
Cash flow hedges
Forward-starting interest rate swaps
Nov. 03, 2012
Cash flow hedges
Forward-starting interest rate swaps
Interest expense
Nov. 09, 2013
Cash flow hedges
Forward-starting interest rate swaps
Interest expense
Nov. 03, 2012
Cash flow hedges
Forward-starting interest rate swaps
Interest expense
May 25, 2013
Cash flow hedges
Forward-starting interest rate swaps
Terminated hedge
instrument
May 25, 2013
Cash flow hedges
Forward-starting interest rate swaps
Terminated with maturity dates of April 2013
instrument
May 25, 2013
Cash flow hedges
Forward-starting interest rate swaps
Entered into during period and terminated
instrument
Nov. 09, 2013
Designated
Fair value hedges
Interest rate swaps
instrument
Feb. 02, 2013
Designated
Fair value hedges
Interest rate swaps
instrument
May 25, 2013
Designated
Fair value hedges
Interest rate swaps
instrument
Nov. 09, 2013
Designated
Fair value hedges
Interest rate swaps
Interest expense
Nov. 03, 2012
Designated
Fair value hedges
Interest rate swaps
Interest expense
Nov. 09, 2013
Designated
Fair value hedges
Interest rate swaps
Interest expense
Nov. 03, 2012
Designated
Fair value hedges
Interest rate swaps
Interest expense
Feb. 02, 2013
Designated
Fair value hedges
Interest rate swaps
Other assets
Nov. 09, 2013
Designated
Fair value hedges
Interest rate swaps
Other long-term liabilities
Nov. 09, 2013
Designated
Cash flow hedges
Forward-starting interest rate swaps
instrument
Feb. 02, 2013
Designated
Cash flow hedges
Forward-starting interest rate swaps
instrument
Nov. 09, 2013
Designated
Cash flow hedges
Forward-starting interest rate swaps
Other assets
Feb. 02, 2013
Designated
Cash flow hedges
Forward-starting interest rate swaps
Other assets
Feb. 02, 2013
Designated
Cash flow hedges
Forward-starting interest rate swaps
Other long-term liabilities
Interest Rate Risk Management                                                              
Combined average annual limit of aggregate amount of debt subject to interest rate reset and floating rate debt, to reduce interest rate risk $ 2,500   $ 2,500                                                        
Number of leveraged products     0                                                        
Notional amount                               600 600 100 475               250 850      
Number of contracts                             19 12 7 2 6               5 17      
Duration                                   5 years 2 months 1 day 1 year 4 months 28 days                        
Average variable rate (as a percent)                                   5.84% 3.29%                        
Average fixed rate (as a percent)                                   6.80% 5.38%                        
Number of matured contracts                                       4                      
Interest rate swap agreements, notional matured amount                                       375                      
Number of new contracts                                                       7      
Interest rate swap agreements, notional entered amount                                                       350      
Gain/(loss) on interest rate swaps, fair value hedges                                         1 (4) (4) (18)              
Gain/(loss) on hedged borrowings, fair value hedges                                         (2) 4 3 14              
Fair value of asset derivatives           15   1 18 14                             1       18 14  
Fair value of liability derivatives             3     9                               (3)         9
Fixed-rate debt                             600                                
Gain/(Loss) in AOCI on Derivatives (Effective Portion) (2) [1] 3 [1] (11) [1] (11) [1]                                                 11 (9) (6)
New issue of senior notes         1,000                                                    
Unamortized gain (loss) on terminated cash flow forward-starting interest rate swaps, net of tax                 (24)   (39)       (20)                                
Unamortized (gain) loss on terminated cash flow forward-starting interest rate swaps, before tax                             32                                
Gain/(Loss) Reclassified from AOCI into Income (Effective Portion)                       $ (1) $ (1) $ (3)                                  
[1] Amount is net of tax of $(3) for the third quarter of 2013 and $2 for the third quarter of 2012. Amount is net of tax of $(8) for the first three quarters of 2013 and $(7) for the first three quarters of 2012.
XML 45 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE FINANCIAL INSTRUMENTS (Details 2) (USD $)
In Millions, unless otherwise specified
Nov. 09, 2013
Feb. 02, 2013
Derivative Assets    
Gross Amount Recognized   $ 17
Gross Amounts Offset in the Statement of Financial Position   (2)
Net Amount Presented in the Statement of Financial Position   15
Net Amount   15
Cash Collateral 0 0
Derivative Liabilities    
Cash Collateral 0 0
Cash flow hedges | Cash Flow Forward-Starting Interest Rate Swaps
   
Derivative Assets    
Gross Amount Recognized 18 16
Gross Amounts Offset in the Statement of Financial Position   (2)
Net Amount Presented in the Statement of Financial Position 18 14
Net Amount 18 14
Derivative Liabilities    
Gross Amount Recognized   11
Gross Amounts Offset in the Statement of Financial Position   (2)
Net Amount Presented in the Statement of Financial Position   9
Net Amount   9
Fair value hedges | Fair Value Interest Rate Swaps
   
Derivative Assets    
Gross Amount Recognized   1
Net Amount Presented in the Statement of Financial Position   1
Net Amount   1
Derivative Liabilities    
Gross Amount Recognized 3  
Net Amount Presented in the Statement of Financial Position 3  
Net Amount $ 3  
XML 46 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
BENEFIT PLANS
9 Months Ended
Nov. 09, 2013
BENEFIT PLANS  
BENEFIT PLANS

4.              BENEFIT PLANS

 

The following table provides the components of net periodic benefit costs for the Company-sponsored defined benefit pension plans and other post-retirement benefit plans for the third quarters of 2013 and 2012.

 

 

 

Third Quarter Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

10

 

$

11

 

$

4

 

$

4

 

Interest cost 

 

35

 

36

 

3

 

3

 

Expected return on plan assets 

 

(52

)

(49

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(1

)

(1

)

Actuarial loss 

 

24

 

22

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

17

 

$

20

 

$

6

 

$

6

 

 

The following table provides the components of net periodic benefit costs for the Company-sponsored defined benefit pension plans and other post-retirement benefit plans for the first three quarters of 2013 and 2012.

 

 

 

Three Quarters Ended

 

 

 

Pension Benefits

 

Other Benefits

 

 

 

November 9,
2013

 

November 3,
2012

 

November 9,
2013

 

November 3,
2012

 

Components of net periodic benefit cost: 

 

 

 

 

 

 

 

 

 

Service cost 

 

$

33

 

$

36

 

$

13

 

$

13

 

Interest cost 

 

118

 

120

 

12

 

12

 

Expected return on plan assets 

 

(173

)

(162

)

 

 

Amortization of: 

 

 

 

 

 

 

 

 

 

Prior service cost 

 

 

 

(3

)

(3

)

Actuarial loss 

 

79

 

74

 

 

 

 

 

 

 

 

 

 

 

 

 

Net periodic benefit cost 

 

$

57

 

$

68

 

$

22

 

$

22

 

 

The Company contributed $100 to its Company-sponsored defined benefit pension plans in the first quarter of 2013.  The Company did not make any contributions in the second and third quarters of 2013 and does not expect to make any additional contributions in 2013.

 

The Company contributed $115 and $110 to employee 401(k) retirement savings accounts in the first three quarters of 2013 and 2012, respectively.

 

The Company also contributes to various multi-employer pension plans based on obligations arising from most of its collective bargaining agreements. These plans provide retirement benefits to participants based on their service to contributing employers. The Company recognizes expense in connection with these plans as contributions are funded.

XML 47 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER COMPREHENSIVE INCOME (LOSS) (Tables)
9 Months Ended
Nov. 09, 2013
OTHER COMPREHENSIVE INCOME (LOSS)  
Schedule of changes in AOCI by component

 

 

 

 

Cash Flow
Hedging
Activities(1)

 

Available for sale
Securities(1)

 

Pension and
Postretirement
Defined Benefit
Plans(1)

 

Total(1)

 

Balance at February 2, 2013

 

$

(14

)

$

7

 

$

(746

)

$

(753

)

OCI before reclassifications(2)

 

(11

)

3

 

 

(8

)

Amounts reclassified out of AOCI

 

1

 

 

47

 

48

 

Net current-period OCI

 

(10

)

3

 

47

 

40

 

Balance at November 9, 2013

 

$

(24

)

$

10

 

$

(699

)

$

(713

)

 

(1) All amounts are net of tax.

(2) Net of tax of $(8) and $2 for cash flow hedging activities and available for sale securities, respectively.

Schedule of items reclassified out of AOCI and the related tax effects

 

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 9, 2013

 

 

 

 

 

 

 

Gains on cash flow hedging activities

 

 

 

 

 

Amortization of unrealized gains and losses on cash flow hedging activities(1)

 

$

1

 

$

2

 

Tax expense

 

(1

)

(1

)

Net of tax

 

 

1

 

 

 

 

 

 

 

Pension and postretirement defined benefit plan items

 

 

 

 

 

Amortization of amounts included in net periodic pension expense(2)

 

23

 

76

 

Tax expense

 

(9

)

(29

)

Net of tax

 

14

 

47

 

Total reclassifications, net of tax

 

$

14

 

$

48

 

 

(1) Reclassified from AOCI into interest expense.

(2) Reclassified from AOCI into merchandise costs and operating, general and administrative expense.  These components are included in the computation of net periodic pension expense (see Note 4 to the Company’s Consolidated Financial Statements for additional details).

XML 48 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
RECENTLY ISSUED ACCOUNTING STANDARDS
9 Months Ended
Nov. 09, 2013
RECENTLY ISSUED ACCOUNTING STANDARDS  
RECENTLY ISSUED ACCOUNTING STANDARDS

7.              RECENTLY ISSUED ACCOUNTING STANDARDS

 

In July 2013, the FASB amended Accounting Standards Codification (“ASC”) 740, “Income Taxes.” The amendment provides guidance on the financial statement presentation of an unrecognized tax benefit, as either a reduction of a deferred tax asset or as a liability, when a net operating loss carryforward, similar tax loss, or a tax credit carryforward exists. The amendment will be effective for interim and annual periods beginning after December 15, 2013 and may be applied on a retrospective basis.  Early adoption is permitted. The Company does not expect the adoption of this amendment to have a significant effect on the Company’s consolidated financial position or results of operations.

XML 49 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
DEBT OBLIGATIONS
9 Months Ended
Nov. 09, 2013
DEBT OBLIGATIONS  
DEBT OBLIGATIONS

3.              DEBT OBLIGATIONS

 

Long-term debt consists of:

 

 

 

November 9,

 

February 2,

 

 

 

2013

 

2013

 

2.20% to 8.00% Senior Notes due through 2043 

 

$

7,186

 

$

6,587

 

5.00% to 12.75% Mortgages due in varying amounts through 2034

 

82

 

60

 

0.28% to 0.45% Commercial paper borrowings due through November 2013

 

425

 

1,645

 

Other 

 

185

 

184

 

 

 

 

 

 

 

Total debt, excluding capital leases and financing obligations 

 

7,878

 

8,476

 

 

 

 

 

 

 

Less current portion 

 

(1,087

)

(2,700

)

 

 

 

 

 

 

Total long-term debt, excluding capital leases and financing obligations 

 

$

6,791

 

$

5,776

 

 

In the first quarter of 2013, the Company repaid $400 of senior notes bearing an interest rate of 5.00% upon their maturity.

 

In the second quarter of 2013, the Company issued $600 of senior notes due in fiscal year 2023 bearing an interest rate of 3.85% and $400 of senior notes due in fiscal year 2043 bearing an interest rate of 5.15%.

 

In the first three quarters of 2013, the Company decreased the amount of commercial paper borrowings outstanding by $1,220.

XML 50 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Millions, unless otherwise specified
9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
Cash Flows from Operating Activities:    
Net earnings including noncontrolling interests $ 1,104 $ 1,039
Adjustments to reconcile net earnings including noncontrolling interests to net cash provided by operating activities:    
Depreciation 1,301 1,265
LIFO charge 42 96
Stock-based employee compensation 78 61
Expense for Company-sponsored pension plans 57 68
Deferred income taxes 21 130
Other 62 37
Changes in operating assets and liabilities net of effects from acquisitions of businesses:    
Store deposits in-transit 74 (134)
Receivables 5 (131)
Inventories (524) (531)
Prepaid expenses 262 (32)
Trade accounts payable 402 386
Accrued expenses 142 57
Income taxes receivable and payable 11 115
Other (120) (158)
Net cash provided by operating activities 2,917 2,268
Cash Flows from Investing Activities:    
Payments for property and equipment, including payments for lease buyouts (1,786) (1,471)
Proceeds from sale of assets 15 23
Payments for acquisitions   (12)
Other (47) (28)
Net cash used by investing activities (1,818) (1,488)
Cash Flows from Financing Activities:    
Proceeds from issuance of long-term debt 1,025 850
Dividends paid (233) (189)
Payments on long-term debt (431) (921)
Net (payments) borrowings on commercial paper (1,220) 744
Excess tax benefits on stock-based awards 24 5
Proceeds from issuance of capital stock 186 72
Treasury stock purchases (384) (1,204)
Net increase in book overdrafts 56 115
Other (16) (5)
Net cash used by financing activities (993) (533)
Net increase in cash and temporary cash investments 106 247
Cash and temporary cash investments:    
Beginning of year 238 188
End of quarter 344 435
Reconciliation of capital investments:    
Payments for property and equipment, including payments for lease buyouts (1,786) (1,471)
Payments for lease buyouts 108 24
Changes in construction-in-progress payables (110) (11)
Total capital investments, excluding lease buyouts (1,788) (1,458)
Disclosure of cash flow information:    
Cash paid during the year for interest 308 320
Cash paid during the year for income taxes $ 489 $ 334
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BENEFIT PLANS (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 4 Months Ended 9 Months Ended
Nov. 09, 2013
Nov. 03, 2012
May 25, 2013
Nov. 09, 2013
Nov. 03, 2012
Amortization of:          
Contribution to employee 401(k) retirement savings accounts       $ 115 $ 110
Pension Benefits
         
Components of net periodic benefit cost:          
Service cost 10 11   33 36
Interest cost 35 36   118 120
Expected return on plan assets (52) (49)   (173) (162)
Amortization of:          
Actuarial loss 24 22   79 74
Net periodic benefit cost 17 20   57 68
Contribution to defined benefit pension plans     100    
Other Benefits
         
Components of net periodic benefit cost:          
Service cost 4 4   13 13
Interest cost 3 3   12 12
Amortization of:          
Prior service cost (1) (1)   (3) (3)
Net periodic benefit cost $ 6 $ 6   $ 22 $ 22

XML 54 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS
9 Months Ended
Nov. 09, 2013
FAIR VALUE MEASUREMENTS  
FAIR VALUE MEASUREMENTS

10.       FAIR VALUE MEASUREMENTS

 

GAAP establishes a fair value hierarchy that prioritizes the inputs used to measure fair value.  The three levels of the fair value hierarchy defined in the standards are as follows:

 

Level 1 — Quoted prices are available in active markets for identical assets or liabilities;

 

Level 2 — Pricing inputs are other than quoted prices in active markets included in Level 1, which are either directly or indirectly observable;

 

Level 3 — Unobservable pricing inputs in which little or no market activity exists, therefore requiring an entity to develop its own assumptions about the assumptions that market participants would use in pricing an asset or liability.

 

For items carried at (or adjusted to) fair value in the Consolidated Financial Statements, the following tables summarize the fair value of these instruments at November 9, 2013 and February 2, 2013:

 

November 9, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

33

 

$

 

$

 

$

33

 

Warrants

 

 

13

 

 

13

 

Long-Lived Assets

 

 

 

18

 

18

 

Interest Rate Hedges

 

 

15

 

 

15

 

Total

 

$

33

 

$

28

 

$

18

 

$

79

 

 

February 2, 2013 Fair Value Measurements Using

 

 

 

Quoted Prices in
Active Markets
for Identical
Assets

(Level 1)

 

Significant Other
Observable Inputs

(Level 2)

 

Significant
Unobservable
Inputs

(Level 3)

 

Total

 

Available-for-Sale Securities

 

$

8

 

$

 

$

20

 

$

28

 

Long-Lived Assets

 

 

 

8

 

8

 

Interest Rate Hedges

 

 

6

 

 

6

 

Total

 

$

8

 

$

6

 

$

28

 

$

42

 

 

In the first quarter of 2013, one of the Company’s available-for-sale securities began trading in an active market.  Because of this, the Company transferred the $20 fair value of securities from a Level 3 asset to a Level 1 asset in the first quarter of 2013.  In the first three quarters of 2013, unrealized gains on the Level 1 available-for-sale securities totaled $5.

 

The Company values warrants using the Black-Scholes option-pricing model.  The Black-Scholes option-pricing model is classified as a Level 2 input.

 

The Company values interest rate hedges using observable forward yield curves.  These forward yield curves are classified as Level 2 inputs.

 

Fair value measurements of non-financial assets and non-financial liabilities are primarily used in the impairment analysis of goodwill, other intangible assets, and long-lived assets, and in the valuation of store lease exit costs.  The Company reviews goodwill and other intangible assets for impairment annually, during the fourth quarter of each fiscal year, and as circumstances indicate the possibility of impairment.  See Note 2 to the Consolidated Financial Statements in the Annual Report on Form 10-K for the fiscal year ended February 2, 2013 for further discussion related to the Company’s carrying value of goodwill.  Long-lived assets and store lease exit costs were measured at fair value on a nonrecurring basis using Level 3 inputs as defined in the fair value hierarchy.  See Note 1 to the Consolidated Financial Statements in the Annual Report on Form 10-K for the fiscal year ended February 2, 2013 for further discussion of the Company’s policies regarding the valuation of long-lived assets and store lease exit costs.  For the first three quarters of 2013, long-lived assets with a carrying amount of $48 were written down to their fair value of $18 resulting in an impairment charge of $30.  For the first three quarters of 2012, long-lived assets with a carrying amount of $14 were written down to their fair value of $4 resulting in an impairment charge of $10.

 

Fair Value of Other Financial Instruments

 

Current and Long-term Debt

 

The fair value of the Company’s long-term debt, including current maturities, was estimated based on the quoted market prices for the same or similar issues adjusted for illiquidity based on available market evidence.  If quoted market prices were not available, the fair value was based on the net present value of the future cash flow using the forward interest rate yield curve in effect at November 9, 2013, and February 2, 2013, which is a Level 3 measurement technique.  At November 9, 2013, the fair value of total debt was $8,440 compared to a carrying value of $7,878.  At February 2, 2013, the fair value of total debt was $9,339 compared to a carrying value of $8,476.

 

Cash and Temporary Cash Investments, Store Deposits In-Transit, Receivables, Prepaid and Other Current Assets, Trade Accounts Payable, Accrued Salaries and Wages and Other Current Liabilities

 

The carrying amounts of these items approximated fair value.

 

Other Assets

 

The fair values of these other assets were estimated based on quoted market prices for those or similar assets, or estimated cash flows, if appropriate.  At November 9, 2013, and February 2, 2013, the carrying and fair value of other assets for which fair value is determinable was $52 and $44, respectively.

XML 55 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
RECENTLY ADOPTED ACCOUNTING STANDARDS
9 Months Ended
Nov. 09, 2013
RECENTLY ADOPTED ACCOUNTING STANDARDS  
RECENTLY ADOPTED ACCOUNTING STANDARDS

6.              RECENTLY ADOPTED ACCOUNTING STANDARDS

 

In February 2013, the Financial Accounting Standards Board (“FASB”) amended its standards on comprehensive income by requiring disclosure of information about amounts reclassified out of accumulated other comprehensive income (“AOCI”) by component.  Specifically, the amendment requires disclosure of the effect of significant reclassifications out of AOCI on the respective line items in net income in which the item was reclassified if the amount being reclassified is required to be reclassified to net income in its entirety in the same reporting period.  It requires cross reference to other disclosures that provide additional detail for amounts that are not required to be reclassified in their entirety in the same reporting period.  This new disclosure became effective for the Company beginning February 3, 2013, and is being adopted prospectively in accordance with the standard.  See Note 11 to the Company’s Consolidated Financial Statements for the Company’s new disclosures related to this amended standard.

 

In December 2011, the FASB amended its standards related to offsetting assets and liabilities.  This amendment requires entities to disclose both gross and net information about certain instruments and transactions eligible for offset in the statement of financial position and certain instruments and transactions subject to an agreement similar to a master netting agreement.  This information is intended to enable users of the financial statements to understand the effect of these arrangements on the Company’s financial position.  The new rules became effective for the Company on February 3, 2013.  In January 2013, the FASB further amended this standard to limit its scope to derivatives, repurchase and reverse repurchase agreements, securities borrowings and lending transactions.  See Note 9 to the Company’s Consolidated Financial Statements for the Company’s new disclosures related to this amended standard.

XML 56 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
POTENTIAL MERGER (Potential Merger)
9 Months Ended
Nov. 09, 2013
Potential Merger
 
Potential merger  
POTENTIAL MERGER

13.  POTENTIAL MERGER

 

During the second quarter, the Company announced that it had entered into a merger agreement with Harris Teeter Supermarkets, Inc. under which the Company will purchase all outstanding shares of Harris Teeter Supermarkets, Inc. for approximately $2,500 in cash.  In the second quarter of 2013, the Company also entered into an unsecured bridge loan agreement (the “Bridge Loan Agreement”) to provide an additional source of financing, if necessary, to fund a portion of the merger with Harris Teeter. The Bridge Loan Agreement provides the Company the ability to borrow, based on certain conditions, including the consummation of the Harris Teeter merger, up to $850, and matures 364 days after closing.  The Company expects to fund the merger through a combination of cash on hand and the issuance of short-term and long-term debt.

 

Borrowings under the Bridge Loan Agreement would bear interest at the three-month LIBOR rate plus an applicable margin determined by the Company’s credit ratings, as determined by S&P and Moody’s.  The applicable margin will also increase by 25 basis points every 90 days after funding. The Company will also pay a funding fee to each lender equal to 0.5% of such lender’s loan advance on the closing date of the financing, and duration fees on any loan amounts still outstanding of 0.5%, 0.75% and 1.0% on each of the 90th, 180th and 270th day, respectively, following the closing of the Harris Teeter merger.  The Company also will pay an annual ticking fee of 0.15% of the amount the lenders have committed, regardless of whether any borrowings are made under the Bridge Loan Agreement.  The Bridge Loan Agreement contains covenants, which, among other things, require the maintenance of a leverage ratio of not greater than 3.50:1.00 and a fixed charge coverage ratio of not less than 1.70:1.00.  The covenants and representations and warranties in the Bridge Loan Agreement are substantially the same as those contained in the existing $2,000 unsecured revolving credit facility.

 

The Company may repay borrowings under the Bridge Loan Agreement in whole or in part at any time without premium or penalty.  The Bridge Loan Agreement is not guaranteed by the Company’s subsidiaries.

 

The pending merger is expected to close during the fourth quarter of fiscal year 2013, subject to Federal Trade Commission review and certain customary closing conditions.

XML 57 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER COMPREHENSIVE INCOME (LOSS)
9 Months Ended
Nov. 09, 2013
OTHER COMPREHENSIVE INCOME (LOSS)  
OTHER COMPREHENSIVE INCOME (LOSS)

11.  OTHER COMPREHENSIVE INCOME (LOSS)

 

The following table represents the changes in AOCI by component for the first three quarters of 2013:

 

 

 

Cash Flow
Hedging
Activities(1)

 

Available for sale
Securities(1)

 

Pension and
Postretirement
Defined Benefit
Plans(1)

 

Total(1)

 

Balance at February 2, 2013

 

$

(14

)

$

7

 

$

(746

)

$

(753

)

OCI before reclassifications(2)

 

(11

)

3

 

 

(8

)

Amounts reclassified out of AOCI

 

1

 

 

47

 

48

 

Net current-period OCI

 

(10

)

3

 

47

 

40

 

Balance at November 9, 2013

 

$

(24

)

$

10

 

$

(699

)

$

(713

)

 

(1) All amounts are net of tax.

(2) Net of tax of $(8) and $2 for cash flow hedging activities and available for sale securities, respectively.

 

The following table represents the items reclassified out of AOCI and the related tax effects for the third quarter and first three quarters of 2013:

 

 

 

Third Quarter Ended

 

Three Quarters Ended

 

 

 

November 9, 2013

 

November 9, 2013

 

 

 

 

 

 

 

Gains on cash flow hedging activities

 

 

 

 

 

Amortization of unrealized gains and losses on cash flow hedging activities(1)

 

$

1

 

$

2

 

Tax expense

 

(1

)

(1

)

Net of tax

 

 

1

 

 

 

 

 

 

 

Pension and postretirement defined benefit plan items

 

 

 

 

 

Amortization of amounts included in net periodic pension expense(2)

 

23

 

76

 

Tax expense

 

(9

)

(29

)

Net of tax

 

14

 

47

 

Total reclassifications, net of tax

 

$

14

 

$

48

 

 

(1) Reclassified from AOCI into interest expense.

(2) Reclassified from AOCI into merchandise costs and operating, general and administrative expense.  These components are included in the computation of net periodic pension expense (see Note 4 to the Company’s Consolidated Financial Statements for additional details).

XML 58 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
9 Months Ended
Nov. 09, 2013
Dec. 11, 2013
Document and Entity Information    
Entity Registrant Name KROGER CO  
Entity Central Index Key 0000056873  
Document Type 10-Q  
Document Period End Date Nov. 09, 2013  
Amendment Flag false  
Current Fiscal Year End Date --02-01  
Entity Current Reporting Status Yes  
Entity Filer Category Large Accelerated Filer  
Entity Common Stock, Shares Outstanding   516,526,256
Document Fiscal Year Focus 2013  
Document Fiscal Period Focus Q3  
XML 59 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES
9 Months Ended
Nov. 09, 2013
INCOME TAXES  
INCOME TAXES

12.  INCOME TAXES

 

The effective income tax rate was 29.3% and 35.5% for the third quarters of 2013 and 2012, respectively.  The effective income tax rate was 33.9% and 34.8% for the first three quarters of 2013 and 2012, respectively.  The effective income tax rates for the third quarter and first three quarters of 2013 differed from the federal statutory rate primarily due to the benefit of certain tax items, offset partially by the effect of state income taxes.  The effective tax rate for the third quarter of 2012 approximates the federal statutory rate.  The effective income tax rate for the first three quarters of 2012 differed from the federal statutory rate primarily due to the favorable resolution of certain tax issues, partially offset by the effect of state income taxes.

 

On September 13, 2013, the U.S. Department of the Treasury and Internal Revenue Service released final tangible property regulations that provide guidance on the tax treatment regarding the deduction and capitalization of expenditures related to tangible property.  These regulations are effective for tax years beginning on or after January 1, 2014.  The Company is currently assessing these rules and their effect to its financial statements, and believes adoption of these regulations will not have an effect on net income and will not have a material effect on the reclassification between long-term deferred tax liabilities and current income tax liabilities.