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Stockholders' Equity - Accumulated Other Comprehensive Income (Loss) (Details) - USD ($)
$ in Thousands
12 Months Ended
Jan. 30, 2021
Feb. 01, 2020
Feb. 02, 2019
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period $ 661,347 $ 853,645 $ 933,475
Net other comprehensive income (loss) 19,031 (15,083) (33,353)
Balance at end of period 565,580 661,347 853,645
Foreign Currency Translation Adjustment      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period (137,289) (119,546) (67,049)
Gains (losses) arising during the period 31,319 (17,743) (52,497)
Reclassification to net earnings for (gains) losses realized 0 0 0
Net other comprehensive income (loss) 31,319 (17,743) (52,497)
Cumulative adjustment reclassified to retained earnings from adoption of new accounting guidance   0  
Balance at end of period (105,970) (137,289) (119,546)
Derivative Financial Instruments Designated as Cash Flow Hedges      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period 6,300 2,999 (14,369)
Gains (losses) arising during the period (5,709) 8,316 10,962
Reclassification to net earnings for (gains) losses realized (5,467) (6,996) 6,406
Net other comprehensive income (loss) (11,176) 1,320 17,368
Cumulative adjustment reclassified to retained earnings from adoption of new accounting guidance   1,981  
Balance at end of period (4,876) 6,300 2,999
Defined Benefit Plans      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period (8,921) (9,632) (11,644)
Gains (losses) arising during the period (1,203) 342 1,516
Reclassification to net earnings for (gains) losses realized 295 369 496
Net other comprehensive income (loss) (908) 711 2,012
Cumulative adjustment reclassified to retained earnings from adoption of new accounting guidance   0  
Balance at end of period (9,829) (8,921) (9,632)
AOCI Attributable to Parent      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period (139,910) (126,179) (93,062)
Gains (losses) arising during the period 24,407 (9,085) (40,019)
Reclassification to net earnings for (gains) losses realized (5,172) (6,627) 6,902
Net other comprehensive income (loss) 19,235 (15,712) (33,117)
Cumulative adjustment reclassified to retained earnings from adoption of new accounting guidance   1,981  
Balance at end of period (120,675) (139,910) (126,179)
Retained Earnings      
Accumulated other comprehensive income (loss), net of tax      
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
Cumulative adjustment reclassified from retained earnings due to adoption of new accounting guidance      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period   297 5,829
Balance at end of period     297
Cumulative adjustment reclassified from retained earnings due to adoption of new accounting guidance | Derivative Financial Instruments Designated as Cash Flow Hedges      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period 0 1,981  
Balance at end of period   0 1,981
Cumulative adjustment reclassified from retained earnings due to adoption of new accounting guidance | AOCI Attributable to Parent      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period   1,981  
Balance at end of period     1,981
Cumulative adjustment reclassified from retained earnings due to adoption of new accounting guidance | Retained Earnings      
Accumulated other comprehensive income (loss), net of tax      
Balance at beginning of period $ 2,000 (1,684) 5,829
Balance at end of period   $ 2,000 $ (1,684)