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Consolidated Statements of Changes in Stockholders' Equity - USD ($)
$ in Millions
Total
Preferred Stock [Member]
Common Stock [Member]
Additional Paid in Capital - Common Stock [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Loss [Member]
Treasury Stock, Common
Balance at beginning of period at Feb. 04, 2024 $ 5,118.9 $ 0.0 $ 88.6 $ 3,313.3 $ 5,407.3 $ (753.6) $ (2,936.7)
Balance (in shares) at Feb. 04, 2024     88,567,275        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 151.4       151.4    
Foreign currency translation adjustments (14.8)         (14.8)  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) 1.4         1.4  
Net gain (loss) on net investment hedges, net of tax expense (benefit) 2.8         2.8  
Comprehensive income 140.8            
Settlement of awards under stock plans (in shares)     337,076        
Settlement of awards under stock plans 7.0   $ 0.3 6.7      
Stock-based compensation expense $ 10.5     10.5      
Common Stock, Dividends, Per Share, Declared $ 0.075            
Dividends declared $ (4.3)       (4.3)    
Excise taxes on share repurchases in excess of issuances 1.7            
Stock Repurchase Program, Amount Purchased During Period (213.7)           (213.7)
Balance at end of period at May. 05, 2024 5,059.2 0.0 $ 88.9 3,330.5 5,554.4 (764.2) (3,150.4)
Balance (in shares) at May. 05, 2024     88,904,351        
Balance at beginning of period at Feb. 04, 2024 5,118.9 0.0 $ 88.6 3,313.3 5,407.3 (753.6) (2,936.7)
Balance (in shares) at Feb. 04, 2024     88,567,275        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 441.3            
Foreign currency translation adjustments (24.6)            
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) (4.6)            
Net gain (loss) on net investment hedges, net of tax expense (benefit) (4.8)            
Comprehensive income 407.3            
Excise taxes on share repurchases in excess of issuances 2.2            
Balance at end of period at Nov. 03, 2024 $ 5,288.2 0.0 $ 89.1 3,359.2 5,840.0 (787.6) (3,212.5)
Balance (in shares) at Nov. 03, 2024 89,085,951   89,085,951        
Balance at beginning of period at May. 05, 2024 $ 5,059.2 0.0 $ 88.9 3,330.5 5,554.4 (764.2) (3,150.4)
Balance (in shares) at May. 05, 2024     88,904,351        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 158.0       158.0    
Foreign currency translation adjustments 12.7         12.7  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) (7.2)         (7.2)  
Net gain (loss) on net investment hedges, net of tax expense (benefit) (16.1)         (16.1)  
Comprehensive income 147.4            
Settlement of awards under stock plans (in shares)     141,247        
Settlement of awards under stock plans 0.3   $ 0.1 0.2      
Stock-based compensation expense 16.4     16.4      
Excise taxes on share repurchases in excess of issuances 0.2            
Stock Repurchase Program, Amount Purchased During Period (31.5)           (31.5)
Balance at end of period at Aug. 04, 2024 5,191.8 0.0 $ 89.0 3,347.1 5,712.4 (774.8) (3,181.9)
Balance (in shares) at Aug. 04, 2024     89,045,598        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 131.9       131.9    
Foreign currency translation adjustments (22.5)         (22.5)  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) 1.2         1.2  
Net gain (loss) on net investment hedges, net of tax expense (benefit) 8.5         8.5  
Comprehensive income 119.1            
Settlement of awards under stock plans (in shares)     40,353        
Settlement of awards under stock plans 0.0   $ 0.1 (0.1)      
Stock-based compensation expense $ 12.2     12.2      
Common Stock, Dividends, Per Share, Declared $ 0.075            
Dividends declared $ (4.3)       (4.3)    
Excise taxes on share repurchases in excess of issuances 0.3            
Stock Repurchase Program, Amount Purchased During Period (30.6)           (30.6)
Balance at end of period at Nov. 03, 2024 $ 5,288.2 0.0 $ 89.1 3,359.2 5,840.0 (787.6) (3,212.5)
Balance (in shares) at Nov. 03, 2024 89,085,951   89,085,951        
Balance at beginning of period at Feb. 02, 2025 $ 5,140.5 0.0 $ 89.1 3,374.1 5,997.2 (856.8) (3,463.1)
Balance (in shares) at Feb. 02, 2025 89,112,404   89,112,404        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) $ (44.8)       (44.8)    
Foreign currency translation adjustments 233.6         233.6  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) (36.9)         (36.9)  
Net gain (loss) on net investment hedges, net of tax expense (benefit) (110.3)         (110.3)  
Comprehensive income 41.6            
Settlement of awards under stock plans (in shares)     268,958        
Settlement of awards under stock plans 0.1   $ 0.3 (0.2)      
Stock-based compensation expense $ 12.1     12.1      
Common Stock, Dividends, Per Share, Declared $ 0.075            
Dividends declared $ (3.9)       (3.9)    
Excise taxes on share repurchases in excess of issuances 4.0            
Stock Repurchase Program, Amount Purchased During Period (572.2)     (150.0)     (422.2)
Balance at end of period at May. 04, 2025 4,618.2 0.0 $ 89.4 3,236.0 5,948.5 (770.4) (3,885.3)
Balance (in shares) at May. 04, 2025     89,381,362        
Balance at beginning of period at Feb. 02, 2025 $ 5,140.5 0.0 $ 89.1 3,374.1 5,997.2 (856.8) (3,463.1)
Balance (in shares) at Feb. 02, 2025 89,112,404   89,112,404        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) $ 183.6            
Foreign currency translation adjustments 293.7            
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) (54.0)            
Net gain (loss) on net investment hedges, net of tax expense (benefit) (136.7)            
Comprehensive income 286.6            
Excise taxes on share repurchases in excess of issuances 5.9            
Balance at end of period at Nov. 02, 2025 $ 4,879.0 0.0 $ 89.6 3,456.9 6,173.3 (753.8) (4,087.0)
Balance (in shares) at Nov. 02, 2025 89,580,024   89,580,024        
Balance at beginning of period at May. 04, 2025 $ 4,618.2 0.0 $ 89.4 3,236.0 5,948.5 (770.4) (3,885.3)
Balance (in shares) at May. 04, 2025     89,381,362        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 224.2       224.2    
Foreign currency translation adjustments 64.5         64.5  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) (19.1)         (19.1)  
Net gain (loss) on net investment hedges, net of tax expense (benefit) (31.7)         (31.7)  
Comprehensive income 237.9            
Settlement of awards under stock plans (in shares)     191,504        
Settlement of awards under stock plans 1.3   $ 0.2 1.1      
Stock-based compensation expense 13.9     13.9      
Excise taxes on share repurchases in excess of issuances (0.1)            
Stock Repurchase Program, Amount Purchased During Period (4.7)           (4.7)
Balance at end of period at Aug. 03, 2025 4,866.6 0.0 $ 89.6 3,251.0 6,172.7 (756.7) (3,890.0)
Balance (in shares) at Aug. 03, 2025     89,572,866        
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 4.2       4.2    
Foreign currency translation adjustments (4.4)         (4.4)  
Net unrealized and realized gain (loss) related to effective cash flow hedges, net of tax expense (benefit) 2.0         2.0  
Net gain (loss) on net investment hedges, net of tax expense (benefit) 5.3         5.3  
Comprehensive income 7.1            
Settlement of awards under stock plans (in shares)     7,158        
Settlement of awards under stock plans 0.0   $ 0.0 0.0      
Stock-based compensation expense $ 11.0     11.0      
Common Stock, Dividends, Per Share, Declared $ 0.075            
Dividends declared $ (3.6)       (3.6)    
Excise taxes on share repurchases in excess of issuances 2.0            
Stock Repurchase Program, Amount Purchased During Period (2.1)     194.9     (197.0)
Balance at end of period at Nov. 02, 2025 $ 4,879.0 $ 0.0 $ 89.6 $ 3,456.9 $ 6,173.3 $ (753.8) $ (4,087.0)
Balance (in shares) at Nov. 02, 2025 89,580,024   89,580,024