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Derivative Financial Instruments - Narrative (Details) - USD ($)
6 Months Ended
Aug. 03, 2019
May 04, 2019
Feb. 02, 2019
Aug. 04, 2018
May 05, 2018
Feb. 03, 2018
Jan. 28, 2017
Derivative [Line Items]              
Gain (loss) on derivative financial instruments designated as cash flow hedges $ 572,795,000 $ 565,078,000 $ 853,645,000 $ 866,081,000 $ 874,257,000 $ 933,475,000  
Foreign exchange currency cash flow hedge unrealized gain to be recognized in cost of product sales over the following 12 months 7,500,000            
Derivative Financial Instruments Designated as Cash Flow Hedges              
Derivative [Line Items]              
Gain (loss) on derivative financial instruments designated as cash flow hedges $ 9,069,000 $ 8,663,000 2,999,000        
Cash flow hedges | Europe | Derivatives designated as hedging instruments              
Derivative [Line Items]              
U.S. dollar forward contracts outstanding, maximum remaining maturity period (in months) 13 months            
Foreign exchange currency contracts | Derivative Financial Instruments Designated as Cash Flow Hedges              
Derivative [Line Items]              
Gain (loss) on derivative financial instruments designated as cash flow hedges $ 9,100,000            
Foreign exchange currency contracts | Cash flow hedges | Europe | Derivatives designated as hedging instruments              
Derivative [Line Items]              
Total notional amount of derivatives purchased 68,600,000            
Notional amount of derivative outstanding 151,800,000   175,200,000        
Foreign exchange currency contracts | Cash flow hedges | Canada | Derivatives designated as hedging instruments              
Derivative [Line Items]              
Notional amount of derivative outstanding 0   3,900,000        
Interest rate swap | Derivative Financial Instruments Designated as Cash Flow Hedges              
Derivative [Line Items]              
Gain (loss) on derivative financial instruments designated as cash flow hedges $ (100,000)            
Interest rate swap | Cash flow hedges | Derivatives designated as hedging instruments              
Derivative [Line Items]              
Notional amount of derivative outstanding             $ 21,500,000
Fixed rate of interest rate swap designated as a cash flow hedge (as a percent) 3.06%            
Euro Member Countries, Euro | Derivatives not designated as hedging instruments              
Derivative [Line Items]              
U.S. dollar forward contracts outstanding, maximum remaining maturity period (in months) 1 month            
Euro Member Countries, Euro | Foreign exchange currency contracts | Derivatives not designated as hedging instruments              
Derivative [Line Items]              
Notional amount of derivative outstanding $ 14,100,000   8,200,000        
Canada, Dollars | Foreign exchange currency contracts | Derivatives not designated as hedging instruments              
Derivative [Line Items]              
Notional amount of derivative outstanding $ 0   $ 0