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CHANGES IN ACCUMULATED OTHER COMPREHENSIVE LOSS (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Nov. 03, 2019
Aug. 04, 2019
May 05, 2019
Nov. 04, 2018
Aug. 05, 2018
May 06, 2018
Nov. 03, 2019
Nov. 04, 2018
Net gain on net investment hedges, net of tax $ 2.3     $ (12.0)     $ (23.6) $ (75.9)
Change in accumulated other comprehensive loss [Roll Forward]                
Balance at beginning of year     $ (507.9)       (507.9)  
Other comprehensive (loss) income (11.2)     (29.6)     (114.7) (212.8)
Balance at end of period (622.6)     (534.3)     (622.6) (534.3)
Foreign currency translation adjustments                
Net gain on net investment hedges, net of tax             23.6 75.9
Change in accumulated other comprehensive loss [Roll Forward]                
Balance at beginning of year     (537.6)     $ (249.4) (537.6) (249.4)
Other comprehensive (loss) income, before reclassifications, net of tax [1],[2]             (107.2) (321.0)
Less: Amounts reclassified from AOCL, net of tax             0.0 0.0
Other comprehensive (loss) income             (107.2) (321.0)
Balance at end of period (644.8)     (570.4)     (644.8) (570.4)
Net unrealized and realized gain (loss) on effective cash flow hedges                
Change in accumulated other comprehensive loss [Roll Forward]                
Balance at beginning of year     29.7     (72.1) 29.7 (72.1)
Other comprehensive (loss) income, before reclassifications, net of tax             13.8 86.9
Less: Amounts reclassified from AOCL, net of tax (3.1)     5.8     21.3 (21.3)
Other comprehensive (loss) income             (7.5) 108.2
Balance at end of period 22.2     36.1     22.2 36.1
Total                
Net gain on net investment hedges, net of tax (2.3) $ 3.5 22.4 12.0 $ 26.9 37.0    
Change in accumulated other comprehensive loss [Roll Forward]                
Balance at beginning of year     $ (507.9)     $ (321.5) (507.9) (321.5)
Other comprehensive (loss) income, before reclassifications, net of tax             (93.4) (234.1)
Less: Amounts reclassified from AOCL, net of tax             21.3 (21.3)
Other comprehensive (loss) income             (114.7) (212.8)
Balance at end of period $ (622.6)     $ (534.3)     $ (622.6) $ (534.3)
[1] Foreign currency translation adjustments included a net gain on net investment hedges of $23.6 million and $75.9 million during the thirty-nine weeks ended November 3, 2019 and November 4, 2018, respectively.
[2] Unfavorable foreign currency translation adjustments were principally driven by a strengthening of the United States dollar against the euro.