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Organization and summary of significant accounting policies (Tables)
12 Months Ended
Feb. 01, 2025
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Cash and Cash Equivalents
The following table summarizes the details of the Company’s cash and cash equivalents for the periods presented:
(in millions)February 1, 2025February 3, 2024
Cash and cash equivalents held in money markets and other accounts
$546.2 $1,314.1 
Cash equivalents from third-party credit card issuers
57.8 64.6 
Total cash and cash equivalents
$604.0 $1,378.7 
Schedule of Cash Flow, Supplemental Disclosures
The Company’s supplemental cash flow information for Fiscal 2025, Fiscal 2024 and Fiscal 2023 was as follows:
(in millions)Fiscal 2025Fiscal 2024Fiscal 2023
Non-cash investing activities:
Capital expenditures in accounts payable
$27.9 $13.4 $14.9 
Supplemental cash flow information:
Interest paid
13.8 15.9 11.7 
Income tax paid, net (1)
115.5 13.0 74.6 
(1)    Includes $42.6 million and $53.8 million refunded under the CARES Act in Fiscal 2024 and Fiscal 2023, respectively. See Note 10 for additional information.
Schedule of Property, Plant and Equipment Depreciation and amortization are recognized on the straight-line method over the estimated useful lives of the related assets as follows:
Buildings
Ranging from 30 – 40 years
Leasehold improvements
Remaining term of lease, not to exceed 10 years
Furniture and fixtures
Ranging from 3 – 10 years
Equipment and software
Ranging from 3 – 7 years
The following table provides the components of the Company’s property, plant and equipment, net as of February 1, 2025 and February 3, 2024:
(in millions)February 1, 2025February 3, 2024
Land and buildings
$16.7 $20.2 
Leasehold improvements
703.8 710.9 
Furniture and fixtures
746.9 749.5 
Equipment
185.3 182.3 
Software
261.5 240.0 
Construction in progress
53.8 36.0 
Total
$1,968.0 $1,938.9 
Accumulated depreciation and amortization
(1,461.5)(1,441.2)
Property, plant and equipment, net
$506.5 $497.7