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CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
  Common Stock
Additional Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Treasury Stock
Beginning balance (in shares) at Jan. 28, 2024   128,301,000        
Beginning balance at Jan. 28, 2024 $ 2,127,861 $ 1,284 $ 587,960 $ 1,555,595 $ (15,552) $ (1,426)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net earnings 260,416     260,416    
Foreign currency translation adjustments (1,342)       (1,342)  
Conversion/release of stock-based awards (in shares) [1]   687,000        
Conversion/release of stock-based awards [1] (87,008) $ 6 (86,787)     (227)
Repurchase of common stock (in shares)   (313,000)        
Repurchase of common stock (43,781) $ (2) (957) (42,822)   0
Reissuance of treasury stock under stock-based compensation plans [1] 0   (1,218) 0   1,218
Stock-based compensation expense 22,191   22,191      
Dividends declared (74,030)     (74,030)    
Change in fair value of derivative financial instruments, net of tax 1       1  
Ending balance (in shares) at Apr. 28, 2024   128,675,000        
Ending balance at Apr. 28, 2024 2,204,308 $ 1,288 521,189 1,699,159 (16,893) (435)
Beginning balance (in shares) at Feb. 02, 2025   123,125,000        
Beginning balance at Feb. 02, 2025 2,142,419 $ 1,232 571,585 1,591,630 (21,593) (435)
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net earnings 231,263     231,263    
Foreign currency translation adjustments 5,170       5,170  
Conversion/release of stock-based awards (in shares) [2]   468,000        
Conversion/release of stock-based awards [2] (65,356) $ 5 (65,071)     (290)
Repurchase of common stock (in shares) [3]   (599,000)        
Repurchase of common stock [3] (90,110) $ (6) (1,864) (86,329)   (1,911)
Reissuance of treasury stock under stock-based compensation plans [2] 0   (448) (173)   621
Stock-based compensation expense 20,203   20,203      
Dividends declared (82,313)     (82,313)    
Change in fair value of derivative financial instruments, net of tax 0          
Ending balance (in shares) at May. 04, 2025   122,994,000        
Ending balance at May. 04, 2025 $ 2,161,276 $ 1,231 $ 524,405 $ 1,654,078 $ (16,423) $ (2,015)
[1] Amounts are shown net of shares withheld for employee taxes.
[2] Amounts are shown net of shares withheld for employee taxes.
[3] Repurchases of common stock include accrued excise taxes of $0.1 million as of May 4, 2025, which is recorded in retained earnings.