XML 64 R41.htm IDEA: XBRL DOCUMENT v3.22.4
SHARE-BASED COMPENSATION PLANS (Tables)
12 Months Ended
Oct. 31, 2022
Share-Based Payment Arrangement [Abstract]  
Schedule of Compensation Expense by Type of Award and Related Income Tax Benefit
Compensation Expense by Type of Award and Related Income Tax Benefit
Years Ended October 31,
(in millions)202220212020
RSUs$18.5 $17.6 $11.5 
Performance shares12.0 15.8 8.8 
Share-based compensation expense before income taxes30.5 33.5 20.3 
Income tax benefit(8.6)(9.4)(5.7)
Share-based compensation expense, net of taxes$21.9 $24.1 $14.6 
Schedule of RSU Activity RSU Activity
Number of
Shares
(in millions)
Weighted-Average
Grant Date
Fair Value per Share
Outstanding at October 31, 20211.0 $36.90 
Granted0.5 41.63 
Vested (including 0.2 shares withheld for income taxes)
(0.4)37.51 
Forfeited(0.1)40.04 
Outstanding at October 31, 20221.0 $38.58 
Schedule of Performance Share Activity
Performance Share Activity
Number of Shares
(in millions)
Weighted-Average
Grant Date
Fair Value
per Share
Outstanding at October 31, 20211.0 $38.24 
Granted0.4 43.06 
Vested (including 0.2 shares withheld for income taxes)
(0.4)35.04 
Performance adjustments— 47.75 
Forfeited— 39.64 
Outstanding at October 31, 20221.0 $41.30 
Schedule of Monte Carlo Assumptions
In 2022, 2021, and 2020, we used the Monte Carlo simulation valuation technique to estimate the fair value of TSR performance share grants, which used the assumptions in the table below.
Monte Carlo Assumptions
202220212020
Expected life(1)
2.81 years2.81 years2.81 years
Expected stock price volatility(2)
41.8 %42.9 %28.7 %
Risk-free interest rate(3)
1.1 %0.2 %1.5 %
Stock price(4)
$42.88 $40.75 $37.99 
(1) The expected life represents the remaining performance period of the awards.
(2) The expected volatility for each grant is determined based on the historical volatility of our common stock over a period equal to the remaining term of the performance period from the date of grant for all awards.
(3) The risk-free interest rate is based on the continuous compounded yield on U.S. Treasury Constant Maturity Rates with varying remaining terms; the yield is determined over a time period commensurate with the performance period from the grant date.
(4) The stock price is the closing price of our common stock on the valuation date.
Schedule of Employee Stock Purchase Plan Employee Stock Purchase Plan
 Years Ended October 31,
(in millions, except per share amounts)202220212020
Weighted-average fair value of granted purchase rights per share$2.19 $2.17 $1.75 
Common stock issued0.1 0.1 0.1 
Fair value of common stock issued per share$41.68 $41.18 $33.18 
Aggregate purchases$3.4 $3.3 $3.5