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Other Comprehensive Income Items (Tables)
6 Months Ended
Apr. 30, 2023
Other Comprehensive Income Items  
Schedule of After-Tax Changes in Accumulated Other Comprehensive Income (Loss)

The after-tax components of accumulated other comprehensive income (loss) were as follows (in millions of dollars):

April 30

October 30

May 1

2023

2022

2022

Cumulative translation adjustment

$

(103.8)

$

(169.0)

$

(125.1)

Unrealized gain on derivatives

33.8

66.8

47.5

Unrealized loss on debt securities

(2.5)

(2.5)

(2.1)

Total accumulated other comprehensive income (loss)

$

(72.5)

$

(104.7)

$

(79.7)

Schedule of Amounts Recorded in and Reclassifications out of Other Comprehensive Income (Loss) and the Income Tax Effects

Amounts recorded in and reclassifications out of other comprehensive income (loss), and the income tax effects, were as follows (in millions of dollars):

Before

Tax

After

 

Tax

(Expense)

Tax

 

Amount

Credit

Amount

 

Three Months Ended April 30, 2023

 

Cumulative translation adjustment

    

$

(1.0)

$

(1.0)

Unrealized gain (loss) on derivatives:

Unrealized hedging gain (loss)

 

(3.7)

$

.8

 

(2.9)

Reclassification of realized (gain) loss to:

Interest rate contracts – Interest expense

 

(19.9)

4.1

(15.8)

Net unrealized gain (loss) on derivatives

 

(23.6)

 

4.9

 

(18.7)

Unrealized gain (loss) on debt securities:

Unrealized holding gain (loss)

(.7)

.3

(.4)

Total other comprehensive income (loss)

$

(25.3)

$

5.2

$

(20.1)

Six Months Ended April 30, 2023

Cumulative translation adjustment

$

65.2

$

65.2

Unrealized gain (loss) on derivatives:

Unrealized hedging gain (loss)

 

(5.6)

$

1.2

 

(4.4)

Reclassification of realized (gain) loss to:

Interest rate contracts – Interest expense

 

(36.2)

7.6

(28.6)

Net unrealized gain (loss) on derivatives

 

(41.8)

 

8.8

 

(33.0)

Total other comprehensive income (loss)

$

23.4

$

8.8

$

32.2

Before

Tax

After

 

Tax

(Expense)

Tax

 

Amount

Credit

Amount

 

Three Months Ended May 1, 2022

Cumulative translation adjustment

$

(34.2)

$

(34.2)

Unrealized gain (loss) on derivatives:

Unrealized hedging gain (loss)

 

35.2

$

(7.3)

 

27.9

Reclassification of realized (gain) loss to:

Interest rate contracts – Interest expense

 

(.2)

 

(.2)

Net unrealized gain (loss) on derivatives

 

35.0

(7.3)

 

27.7

Unrealized gain (loss) on debt securities:

Unrealized holding gain (loss)

(.2)

(.2)

Total other comprehensive income (loss)

$

.6

$

(7.3)

$

(6.7)

Six Months Ended May 1, 2022

Cumulative translation adjustment

$

(70.6)

$

(70.6)

Unrealized gain (loss) on derivatives:

Unrealized hedging gain (loss)

 

50.6

$

(10.6)

 

40.0

Reclassification of realized (gain) loss to:

Interest rate contracts – Interest expense

 

.9

(.2)

 

.7

Net unrealized gain (loss) on derivatives

 

51.5

 

(10.8)

 

40.7

Unrealized gain (loss) on debt securities:

Unrealized holding gain (loss)

(.5)

.1

(.4)

Total other comprehensive income (loss)

$

(19.6)

$

(10.7)

$

(30.3)