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CONSOLIDATED STATEMENTS OF TOTAL EQUITY (DEFICIT) - USD ($)
shares in Thousands, $ in Millions
Total
Other Share Repurchase Program
Accelerated Share Repurchase Program
Common Stock
Common Stock
Other Share Repurchase Program
Common Stock
Accelerated Share Repurchase Program
Paid-In Capital
Paid-In Capital
Accelerated Share Repurchase Program
Accumulated Other Comprehensive Income
Retained Earnings (Accumulated Deficit)
Treasury Stock, at Average Cost
Treasury Stock, at Average Cost
Other Share Repurchase Program
Treasury Stock, at Average Cost
Accelerated Share Repurchase Program
Noncontrolling Interest
Ending Balance (in shares)       278,000                    
Beginning Balance (in shares) at Jan. 30, 2021       278,000                    
Beginning Balance at Jan. 30, 2021 $ (661)     $ 143     $ 891   $ 83 $ (1,421) $ (358)     $ 1
Ending Balance at May. 01, 2021 $ (533)     $ 144     903   86 (1,144) (523)     1
Ordinary dividends (in USD per share) $ 0                          
Beginning Balance (in shares) at Jan. 30, 2021       278,000                    
Beginning Balance at Jan. 30, 2021 $ (661)     $ 143     891   83 (1,421) (358)     1
Net Income 651 [1]                 651        
Other Comprehensive Income 4               4          
Total Comprehensive Income 655               4 651        
Cash Dividends $ (42)                 (42)        
Repurchases of Common Stock (in shares) (16,996)     (17,000)                    
Repurchases of Common Stock $ (1,194)                   (1,194)      
Treasury Share Retirement       $ (5)     (32)     (693) 730      
Share-based Compensation and Other (in shares)       4,000                    
Share-based Compensation and Other 54     $ 2     52              
Ending Balance at Jul. 31, 2021 $ (1,188)     $ 140     911   87 (1,505) (822)     1
Ordinary dividends (in USD per share) $ 0.15                          
Ending Balance (in shares)       277,000                    
Beginning Balance (in shares) at May. 01, 2021       277,000                    
Beginning Balance at May. 01, 2021 $ (533)     $ 144     903   86 (1,144) (523)     1
Net Income 374                 374        
Other Comprehensive Income 1               1          
Total Comprehensive Income 375               1 374        
Cash Dividends (42)     0     0   0 (42) 0     0
Repurchases of Common Stock (in shares)         (14,000)                  
Repurchases of Common Stock   $ (1,029)                   $ (1,029)    
Treasury Share Retirement 0     $ (5)     (32)     (693) 730      
Share-based Compensation and Other (in shares)       2,000                    
Share-based Compensation and Other 41     $ 1     40              
Ending Balance at Jul. 31, 2021 $ (1,188)     $ 140     911   87 (1,505) (822)     1
Ordinary dividends (in USD per share) $ 0.15                          
Ending Balance (in shares) 265,000     265,000                    
Beginning Balance (in shares) at Jul. 31, 2021 265,000     265,000                    
Ending Balance at Jan. 29, 2022 $ (1,517)     $ 134     893   80 (1,803) (822)     1
Ending Balance (in shares) 254,000     254,000                    
Beginning Balance (in shares) at Jan. 29, 2022 254,000     254,000                    
Ending Balance at Apr. 30, 2022 $ (2,658)     $ 126     618   80 (2,661) (822)     1
Ordinary dividends (in USD per share) $ 0.20                          
Beginning Balance (in shares) at Jan. 29, 2022 254,000     254,000                    
Beginning Balance at Jan. 29, 2022 $ (1,517)     $ 134     893   80 (1,803) (822)     1
Net Income 275                 275        
Other Comprehensive Income 0                          
Cash Dividends (94)                 (94)        
Repurchases of Common Stock (in shares)     (20,295)   (7,000) (20,000)                
Repurchases of Common Stock   (312) $ (1,000)         $ 0       (312) $ (1,000)  
Treasury Share Retirement       $ (13)     (87)     (1,212) 1,312      
Share-based Compensation and Other (in shares)       1,000                    
Share-based Compensation and Other (14)     $ 1     (15)              
Ending Balance at Jul. 30, 2022 $ (2,662)     $ 122     791   80 (2,834) (822)     1
Ordinary dividends (in USD per share) $ 0.40                          
Ending Balance (in shares)       236,000                    
Beginning Balance (in shares) at Apr. 30, 2022       236,000                    
Beginning Balance at Apr. 30, 2022 $ (2,658)     $ 126     618   80 (2,661) (822)     1
Net Income 120                 120        
Other Comprehensive Income 0                          
Total Comprehensive Income                   120        
Cash Dividends (46)                 (46)        
Repurchases of Common Stock (in shares)         (2,000) (7,000)                
Repurchases of Common Stock   $ (77) $ 0         $ 200       $ (77) $ (200)  
Treasury Share Retirement 0     $ (4)     (26)     (247) 277      
Share-based Compensation and Other (in shares)       1,000                    
Share-based Compensation and Other (1)     $ 0     (1)              
Ending Balance at Jul. 30, 2022 $ (2,662)     $ 122     $ 791   $ 80 $ (2,834) $ (822)     $ 1
Ordinary dividends (in USD per share) $ 0.20                          
Ending Balance (in shares) 228,000     228,000                    
[1] The cash flows related to discontinued operations have not been segregated. Accordingly, the 2021 Consolidated Statement of Cash Flows includes the results of continuing and discontinued operations.