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Subsidiary Guarantors (Tables) (Subsidiary Guarantors)
3 Months Ended
Jan. 31, 2014
Subsidiary Guarantors
 
Condensed Financial Statements, Captions [Line Items]  
Subsidiary guarantor condensed consolidating statement of income

Condensed Consolidating Statement of Income
Quarter ended January 31, 2014
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
Consolidated
Net sales
$

 
$
480,672

 
$
602,765

 
$
(244,125
)
 
$
839,312

Cost of sales

 
363,067

 
445,839

 
(204,728
)
 
604,178

Product development, selling and administrative expenses
14,669

 
67,835

 
70,525

 

 
153,029

Other (income) expense
(473
)
 
1,949

 
(4,616
)
 

 
(3,140
)
Operating income (loss)
(14,196
)
 
47,821

 
91,017

 
(39,397
)
 
85,245

Intercompany items
17,278

 
(19,986
)
 
(9,071
)
 
11,779

 

Interest (expense) income, net
(16,045
)
 
1,885

 
340

 

 
(13,820
)
Income (loss) from continuing operations before income taxes and equity in income of subsidiaries
(12,963
)
 
29,720

 
82,286

 
(27,618
)
 
71,425

Provision (benefit) for income taxes
(5,054
)
 
26,368

 
1,250

 

 
22,564

Equity in income of subsidiaries
56,770

 
33,013

 

 
(89,783
)
 

Income from continuing operations
$
48,861

 
$
36,365

 
$
81,036

 
$
(117,401
)
 
$
48,861

 
 
 
 
 
 
 
 
 
 
Comprehensive income
$
2,403

 
$
34,830

 
$
33,332

 
$
(68,162
)
 
$
2,403



Condensed Consolidating Statement of Income
Quarter ended January 25, 2013  
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
Consolidated
Net sales
$

 
$
604,662

 
$
873,815

 
$
(328,600
)
 
$
1,149,877

Cost of sales

 
417,652

 
614,111

 
(258,614
)
 
773,149

Product development, selling and administrative expenses
12,802

 
74,444

 
70,035

 

 
157,281

Other (income) expense

 
9,052

 
(10,757
)
 

 
(1,705
)
Operating income (loss)
(12,802
)
 
103,514

 
200,426

 
(69,986
)
 
221,152

Intercompany items
31,120

 
(19,848
)
 
(35,657
)
 
24,385

 

Interest (expense) income, net
(22,570
)
 
71

 
7,346

 

 
(15,153
)
Income (loss) from continuing operations before income taxes and equity in income of subsidiaries
(4,252
)
 
83,737

 
172,115

 
(45,601
)
 
205,999

Provision (benefit) for income taxes
(9,276
)
 
56,257

 
16,879

 

 
63,860

Equity in income of subsidiaries
137,115

 
92,701

 

 
(229,816
)
 

Income from continuing operations
$
142,139

 
$
120,181

 
$
155,236

 
$
(275,417
)
 
$
142,139

 
 
 
 
 
 
 
 
 
 
Comprehensive income
$
145,367

 
$
118,458

 
$
151,743

 
$
(270,201
)
 
$
145,367


 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Subsidiary guarantor condensed consolidating balance sheet

Condensed Consolidating Balance Sheet
As of January 31, 2014
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$
29,665

 
$
6,580

 
$
254,654

 
$

 
$
290,899

Accounts receivable, net

 
398,923

 
563,384

 
(8,515
)
 
953,792

Inventories

 
455,890

 
804,206

 
(124,984
)
 
1,135,112

Other current assets
72,409

 
8,799

 
126,808

 
15

 
208,031

Total current assets
102,074

 
870,192

 
1,749,052

 
(133,484
)
 
2,587,834

Property, plant and equipment, net
20,885

 
365,025

 
511,974

 

 
897,884

Other assets:
 
 
 
 
 
 
 
 


Other intangible assets, net

 
242,456

 
83,116

 

 
325,572

Goodwill

 
454,199

 
1,025,122

 

 
1,479,321

Deferred income taxes
(33,294
)
 

 
71,017

 

 
37,723

Other non-current assets
4,113,404

 
1,796,687

 
2,621,313

 
(8,336,062
)
 
195,342

Total other assets
4,080,110

 
2,493,342

 
3,800,568

 
(8,336,062
)
 
2,037,958

Total assets
$
4,203,069

 
$
3,728,559

 
$
6,061,594

 
$
(8,469,546
)
 
$
5,523,676

LIABILITIES AND SHAREHOLDERS’ EQUITY
 
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
Short-term notes payable, including current portion of long-term obligations
$
50,000

 
$

 
$
8,356

 
$

 
$
58,356

Trade accounts payable
731

 
138,941

 
144,297

 

 
283,969

Employee compensation and benefits
8,497

 
42,910

 
44,359

 

 
95,766

Advance payments and progress billings

 
162,715

 
331,384

 
(21,253
)
 
472,846

Accrued warranties

 
27,281

 
50,523

 

 
77,804

Other accrued liabilities
38,454

 
49,851

 
158,414

 
(3,631
)
 
243,088

Current liabilities of discontinued operations

 
11,684

 

 

 
11,684

Total current liabilities
97,682

 
433,382

 
737,333

 
(24,884
)
 
1,243,513

Long-term obligations
1,243,860

 

 
14

 

 
1,243,874

Other liabilities:
 
 
 
 
 
 
 
 
 
Liabilities for postretirement benefits
19,471

 
848

 

 

 
20,319

Accrued pension costs
131,673

 
5,502

 
7,146

 

 
144,321

Other non-current liabilities
(14,656
)
 
8,169

 
153,097

 

 
146,610

Total other liabilities
136,488

 
14,519

 
160,243

 

 
311,250

Shareholders’ equity
2,725,039

 
3,280,658

 
5,164,004

 
(8,444,662
)
 
2,725,039

Total liabilities and shareholders’ equity
$
4,203,069

 
$
3,728,559

 
$
6,061,594

 
$
(8,469,546
)
 
$
5,523,676



Condensed Consolidating Balance Sheet
As of October 25, 2013 
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 


Cash and cash equivalents
$
122,901

 
$
20,361

 
$
262,447

 
$

 
$
405,709

Accounts receivable, net

 
410,928

 
679,183

 
(6,448
)
 
1,083,663

Inventories

 
456,345

 
813,182

 
(129,783
)
 
1,139,744

Other current assets
68,792

 
16,957

 
107,564

 
15

 
193,328

Total current assets
191,693

 
904,591

 
1,862,376

 
(136,216
)
 
2,822,444

Property, plant and equipment, net
18,081

 
375,026

 
519,535

 

 
912,642

Other assets:
 
 
 
 
 
 
 
 


Other intangible assets, net

 
247,200

 
84,612

 

 
331,812

Goodwill

 
454,199

 
1,026,320

 

 
1,480,519

Deferred income taxes
(49,393
)
 

 
90,925

 

 
41,532

Other non-current assets
4,168,916

 
2,065,239

 
3,968,205

 
(10,001,727
)
 
200,633

Total other assets
4,119,523

 
2,766,638

 
5,170,062

 
(10,001,727
)
 
2,054,496

Total assets
$
4,329,297

 
$
4,046,255

 
$
7,551,973

 
$
(10,137,943
)
 
$
5,789,582

LIABILITIES AND SHAREHOLDERS’ EQUITY
 
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
Short-term notes payable, including current portion of long-term obligations
$
50,000

 
$
449

 
$
8,220

 
$

 
$
58,669

Trade accounts payable
2,565

 
165,691

 
219,863

 

 
388,119

Employee compensation and benefits
10,080

 
52,260

 
68,215

 

 
130,555

Advance payments and progress billings

 
144,853

 
269,628

 
(14,713
)
 
399,768

Accrued warranties

 
30,111

 
55,621

 

 
85,732

Other accrued liabilities
24,545

 
54,285

 
211,074

 
(3,841
)
 
286,063

Current liabilities of discontinued operations

 
11,684

 

 

 
11,684

Total current liabilities
87,190

 
459,333

 
832,621

 
(18,554
)
 
1,360,590

Long-term obligations
1,256,164

 
763

 

 

 
1,256,927

Other liabilities:
 
 
 
 
 
 
 
 


Liabilities for postretirement benefits
19,881

 
842

 

 

 
20,723

Accrued pension costs
136,886

 
5,685

 
7,234

 

 
149,805

Other non-current liabilities
(29,193
)
 
7,851

 
164,510

 

 
143,168

Total other liabilities
127,574

 
14,378

 
171,744

 

 
313,696

Shareholders’ equity
2,858,369

 
3,571,781

 
6,547,608

 
(10,119,389
)
 
2,858,369

Total liabilities and shareholders’ equity
$
4,329,297

 
$
4,046,255

 
$
7,551,973

 
$
(10,137,943
)
 
$
5,789,582

Subsidiary guarantor condensed consolidating statement of cash flows

Condensed Consolidating Statement of Cash Flows
Quarter ended January 31, 2014
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Consolidated
Operating Activities:
 
 
 
 
 
 
 
Net cash provided (used) by operating activities of continuing operations
$
61,014

 
$
(9,829
)
 
$
13,654

 
$
64,839

Net cash provided by operating activities of discontinued operations

 
67

 

 
67

Net cash provided (used) by operating activities
61,014

 
(9,762
)
 
13,654

 
64,906

Investing Activities:
 
 
 
 
 
 
 
Property, plant and equipment acquired
(3,544
)
 
(4,084
)
 
(19,027
)
 
(26,655
)
Proceeds from sale of property, plant and equipment

 
1,277

 
804

 
2,081

Other investing activities, net
(21
)
 

 

 
(21
)
Net cash used by investing activities
(3,565
)
 
(2,807
)
 
(18,223
)
 
(24,595
)
Financing Activities:
 
 
 
 
 
 
 
Common stock issued
1,985

 

 

 
1,985

Excess tax detriment from share-based compensation awards
(284
)
 

 

 
(284
)
Dividends paid
(17,850
)
 

 

 
(17,850
)
Repayments of term loan
(12,500
)
 

 

 
(12,500
)
Change in short and long-term obligations, net

 
(1,212
)
 
(47
)
 
(1,259
)
Treasury stock purchased
(122,036
)
 

 

 
(122,036
)
Net cash used by financing activities
(150,685
)
 
(1,212
)
 
(47
)
 
(151,944
)
Effect of Exchange Rate Changes on Cash and Cash Equivalents

 

 
(3,177
)
 
(3,177
)
Decrease in Cash and Cash Equivalents
(93,236
)
 
(13,781
)
 
(7,793
)
 
(114,810
)
Cash and Cash Equivalents at Beginning of Period
122,901

 
20,361

 
262,447

 
405,709

Cash and Cash Equivalents at End of Period
$
29,665

 
$
6,580

 
$
254,654

 
$
290,899



Condensed Consolidating Statement of Cash Flows
Quarter ended January 25, 2013
In thousands
Parent
Company
 
Subsidiary
Guarantors
 
Non-Guarantor
Subsidiaries
 
Consolidated
Operating Activities:
 
 
 
 
 
 
 
Net cash provided by operating activities of continuing operations
$
51,491

 
$
12,726

 
$
27,848

 
$
92,065

Net cash used by operating activities of discontinued operations

 
(1,571
)
 

 
(1,571
)
Net cash provided by operating activities
51,491

 
11,155

 
27,848

 
90,494

Investing Activities:
 
 
 
 
 
 
 
Property, plant and equipment acquired
(1,417
)
 
(14,122
)
 
(39,049
)
 
(54,588
)
Proceeds from sale of property, plant and equipment

 
27

 
1,026

 
1,053

Other investing activities, net
(32
)
 

 
1,825

 
1,793

Net cash used by investing activities
(1,449
)
 
(14,095
)
 
(36,198
)
 
(51,742
)
Financing Activities:
 
 
 
 
 
 
 
Common stock issued
3,012

 

 

 
3,012

Excess tax benefit from share-based compensation awards
1,522

 

 

 
1,522

Dividends paid
(18,542
)
 

 

 
(18,542
)
Repayments of term loan
(12,500
)
 

 

 
(12,500
)
Change in short and long-term obligations, net

 
(104
)
 
(4,598
)
 
(4,702
)
Net cash used by financing activities
(26,508
)
 
(104
)
 
(4,598
)
 
(31,210
)
Effect of Exchange Rate Changes on Cash and Cash Equivalents

 

 
(1,520
)
 
(1,520
)
Increase (Decrease) in Cash and Cash Equivalents
23,534

 
(3,044
)
 
(14,468
)
 
6,022

Cash and Cash Equivalents at Beginning of Period
3,459

 
6,628

 
253,786

 
263,873

Cash and Cash Equivalents at End of Period
$
26,993

 
$
3,584

 
$
239,318

 
$
269,895