v3.25.2
Stockholders' Equity (Tables)
9 Months Ended
Aug. 01, 2025
Stockholders' Equity Note [Abstract]  
Schedule of Components of Accumulated Other Comprehensive Loss (AOCL), Net of Tax
The components of accumulated other comprehensive loss ("AOCL"), net of tax, within the Condensed Consolidated Statements of Stockholders' Equity were as follows:
(Dollars in millions)August 1, 2025August 2, 2024October 31, 2024
Foreign currency translation adjustments$28.0 $34.8 $33.9 
Pension benefits4.3 4.3 4.3 
Cash flow derivative instruments5.2 3.8 7.8 
Total accumulated other comprehensive loss$37.5 $42.9 $46.0 
Schedule of Components and Activity of AOCL
The components and activity of AOCL, net of tax, for the three and nine month periods ended August 1, 2025 and August 2, 2024 were as follows:
(Dollars in millions)Foreign 
Currency
Translation
Adjustments
Pension
Benefits
Cash Flow Derivative InstrumentsTotal
Balance as of May 2, 2025$29.0 $4.3 $8.7 $42.0 
Other comprehensive income before reclassifications(1.0)— (1.3)(2.3)
Amounts reclassified from AOCL— — (2.2)(2.2)
Net current period other comprehensive income(1.0)— (3.5)(4.5)
Balance as of August 1, 2025$28.0 $4.3 $5.2 $37.5 
(Dollars in millions)Foreign 
Currency
Translation
Adjustments
Pension
Benefits
Cash Flow Derivative InstrumentsTotal
Balance as of October 31, 2024$33.9 $4.3 $7.8 $46.0 
Other comprehensive (income) loss before reclassifications(5.9)— 1.3 (4.6)
Amounts reclassified from AOCL— — (3.9)(3.9)
Net current period other comprehensive income(5.9)— (2.6)(8.5)
Balance as of August 1, 2025$28.0 $4.3 $5.2 $37.5 
(Dollars in millions)Foreign 
Currency
Translation
Adjustments
Pension
Benefits
Cash Flow Derivative InstrumentsTotal
Balance as of May 3, 2024$36.4 $4.3 $(4.9)$35.8 
Other comprehensive loss (income) before reclassifications(1.6)— 7.1 5.5 
Amounts reclassified from AOCL— — 1.6 1.6 
Net current period other comprehensive loss (income)(1.6)— 8.7 7.1 
Balance as of August 2, 2024$34.8 $4.3 $3.8 $42.9 
(Dollars in millions)Foreign 
Currency
Translation
Adjustments
Pension
Benefits
Cash Flow Derivative InstrumentsTotal
Balance as of October 31, 2023$41.7 $4.3 $(9.0)$37.0 
Other comprehensive income before reclassifications(6.9)— 6.5 (0.4)
Amounts reclassified from AOCL— — 6.3 6.3 
Net current period other comprehensive (income) loss(6.9)— 12.8 5.9 
Balance as of August 2, 2024$34.8 $4.3 $3.8 $42.9