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Consolidated Statements of Comprehensive Income - USD ($)
$ in Thousands
12 Months Ended
Oct. 31, 2015
Nov. 01, 2014
Nov. 02, 2013
Statement of Comprehensive Income [Abstract]      
Income from continuing operations, net of tax $ 696,878 $ 629,320 $ 673,487
Foreign currency translation adjustment (12,925) (5,615) (499)
Net unrealized (losses) gains on securities:      
Net unrealized holding gains (losses) (net of taxes) on available-for-sale securities classified as short-term investments (540) (306) 497
Net unrealized (losses) gains on securities (540) (306) 497
Derivative instruments designated as cash flow hedges:      
Changes in fair value of derivatives (net of taxes) (28,798) (9,350) 9,708
Realized loss (gain) reclassification (net of taxes) 10,447 912 (1,776)
Net change in derivative instruments designated as cash flow hedges (18,351) (8,438) 7,932
Accumulated other comprehensive (loss) income - pension plans:      
Transition asset (obligation) (net of taxes) 19 22 20
Net actuarial (loss) gain (net of taxes) 153,953 (74,049) (24,099)
Net prior service income (net of taxes) (4,481) 406 (3)
Net change in accumulated other comprehensive (loss) income - pension plans (net of taxes) 149,491 (73,621) (24,082)
Other comprehensive (loss) income 117,675 (87,980) (16,152)
Comprehensive income from continuing operations $ 814,553 $ 541,340 $ 657,335