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Retirement plans (Tables)
12 Months Ended
Feb. 01, 2025
Retirement Benefits [Abstract]  
Schedule of Net Periodic Benefit Cost
The components of pre-tax net periodic pension benefit cost and other amounts recognized in OCI for the UK Plan as of Fiscal 2024 and Fiscal 2023 were as follows:
(in millions)Fiscal 2024Fiscal 2023
Components of net periodic benefit cost:
Interest cost
$— $(1.0)
Expected return on UK Plan assets
(2.5)(0.3)
Amortization of unrecognized actuarial losses
— (3.5)
Amortization of unrecognized net prior service costs
— (0.3)
Pension settlement loss
(0.2)(133.7)
Total net periodic benefit cost
$(2.7)$(138.8)
Other changes in assets and benefit obligations recognized in OCI
0.2 137.0 
Total recognized in net periodic pension benefit cost and OCI
$(2.5)$(1.8)
Schedule of Allocation of Plan Assets The value and classification of the mutual funds are as follows:
As of February 1, 2025As of February 3, 2024
(in millions)Total 
Level 1
TotalLevel 1
Investments measured at fair value:
Mutual funds
$28.3 $28.3 $22.4 $22.4 
Investments measured at NAV:
Money market mutual funds
2.7 2.8 
Total assets
$31.0 $28.3 $25.2 $22.4