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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
9 Months Ended
Aug. 02, 2025
Jul. 27, 2024
Cash flows provided by operating activities:    
Net income $ 103,849 $ 46,928
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation of equipment, building, furniture and fixtures, and amortization of leasehold improvements 76,637 68,997
Share-based compensation expense 135,696 115,433
Amortization of intangible assets 26,343 30,675
Deferred taxes (21,709) (19,909)
Provision for inventory excess and obsolescence 34,185 35,400
Provision for warranty 16,302 14,708
Other (1,838) 11,968
Changes in assets and liabilities:    
Accounts receivable (116,887) 92,421
Inventories (73,493) 78,220
Prepaid expenses and other 137,440 (221,823)
Operating lease right-of-use assets 8,759 8,963
Accounts payable, accruals and other obligations 83,354 (112,352)
Deferred revenue 38,246 28,833
Short- and long-term operating lease liabilities (11,868) (13,290)
Net cash provided by operating activities 435,016 165,172
Cash flows used in investing activities:    
Payments for equipment, furniture and fixtures (95,373) (53,098)
Purchases of investments (191,335) (197,303)
Proceeds from sales and maturities of investments 261,611 114,899
Settlement of foreign currency forward contracts, net (2,635) (362)
Purchase of equity investment 0 (21,682)
Net cash used in investing activities (27,732) (157,546)
Cash flows used in financing activities:    
Proceeds from modification of debt, net 19,175 0
Cash paid for extinguishment of debt (19,175) 0
Payment of long-term debt (8,685) (5,850)
Payment of debt issuance costs (12) (2,554)
Payment of finance lease obligations (3,244) (3,004)
Shares repurchased for tax withholdings on vesting of stock unit awards (60,043) (33,450)
Repurchases of common stock - repurchase program, net (250,035) (125,816)
Proceeds from issuance of common stock 35,874 34,292
Net cash used in financing activities (286,145) (136,382)
Effect of exchange rate changes on cash, cash equivalents and restricted cash 60 1,499
Net increase (decrease) in cash, cash equivalents and restricted cash 121,199 (127,257)
Cash, cash equivalents and restricted cash at beginning of period 935,026 1,010,786
Cash, cash equivalents and restricted cash at end of period 1,056,225 883,529
Supplemental disclosure of cash flow information    
Cash paid during the period for interest, net 68,243 64,999
Cash paid during the period for income taxes, net 84,898 41,736
Operating lease payments 13,246 14,672
Non-cash investing and financing activities    
Purchase of equipment in accounts payable 14,819 35,316
Repurchase of common stock in accrued liabilities from repurchase program, net 2,231 1,762
Operating right-of-use assets subject to lease liability $ 21,850 $ 5,326