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Special Charges, Net (Tables)
12 Months Ended
Oct. 29, 2022
Restructuring and Related Activities [Abstract]  
Summary of the company's accrued restructuring The activity is detailed below:
Accrued Special ChargesClosure of Manufacturing FacilitiesGlobal Repositioning Actions
Balance at November 2, 2019
$50,401 $58,895 
Employee severance and benefit costs— 47,326 
Facility closure costs2,918 — 
Severance and benefit payments(5,098)(85,301)
Facility closure cost payments(2,969)— 
Effect of foreign currency on accrual(76)(146)
Balance at October 31, 2020
$45,176 $20,774 
Employee severance and benefit costs200 28,731 
Facility closure costs11,880 — 
Severance and benefit payments(19,602)(28,604)
Facility closure cost payments(11,880)— 
Effect of foreign currency on accrual— 164 
Balance at October 30, 2021
$25,774 $21,065 
Employee severance and benefit costs75 149,853 
Facility closure costs12,076 — 
Severance and benefit payments(22,805)(118,567)
Facility closure cost payments(12,491)— 
Effect of foreign currency on accrual— (281)
Balance at October 29, 2022
$2,629 $52,070