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Derivative Financial Instruments - Net After Tax Derivative Acivity (Details) - USD ($)
$ in Thousands
12 Months Ended
Jan. 30, 2021
Feb. 01, 2020
Feb. 02, 2019
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period $ 661,347 $ 853,645 $ 933,475
Balance at end of period 565,580 661,347 853,645
Cumulative Effect, Period of Adoption, Adjustment      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period   297 5,829
Balance at end of period     297
Derivative Financial Instruments Designated as Cash Flow Hedges      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period 6,300 2,999 (14,369)
Net gains (losses) from changes in cash flow hedges (5,709) 8,316 10,962
Net gains reclassified to earnings (loss) 5,467 6,996 (6,406)
Balance at end of period (4,876) 6,300 2,999
Derivative Financial Instruments Designated as Cash Flow Hedges | Cumulative Effect, Period of Adoption, Adjustment      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period 0 1,981  
Balance at end of period   0 1,981
Accumulated net gain (loss) from cash flow hedges (prior to adoption of new guidance)      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period 6,300 2,999  
Net gains (losses) from changes in cash flow hedges   8,316  
Net gains reclassified to earnings (loss)   6,996  
Balance at end of period   6,300 2,999
Accumulated Other Comprehensive Loss      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period (139,910) (126,179) (93,062)
Net gains (losses) from changes in cash flow hedges 24,407 (9,085) (40,019)
Net gains reclassified to earnings (loss) 5,172 6,627 (6,902)
Balance at end of period (120,675) (139,910) (126,179)
Accumulated Other Comprehensive Loss | Cumulative Effect, Period of Adoption, Adjustment      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period   1,981  
Balance at end of period     1,981
Retained Earnings      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period 1,130,409 1,077,747 1,132,173
Balance at end of period 1,034,823 1,130,409 1,077,747
Retained Earnings | Cumulative Effect, Period of Adoption, Adjustment      
Net after-tax derivative activity recorded in accumulated other comprehensive income (loss)      
Balance at beginning of period $ 2,000 (1,684) 5,829
Balance at end of period   $ 2,000 $ (1,684)