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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Total
Common Stock
Treasury Stock, at Cost
Additional Paid-in Capital
Retained (Deficit) Earnings
Accumulated Other Comprehensive Income (Loss)
Stockholders’ Equity (Deficit)
Noncontrolling Interest
Beginning balance (in shares) at Jan. 30, 2022   64,098,565            
Beginning balance at Jan. 30, 2022 $ 737,775 $ 785 $ (549,942) $ 491,956 $ 796,860 $ (2,075) $ 737,584 $ 191
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net income 61,372       61,380   61,380 (8)
Other comprehensive income (loss) 5,435         5,435 5,435  
Sale of warrants 42,909     42,909     42,909  
Purchase of convertible note hedge (72,559)     (72,559)     (72,559)  
Share-based compensation 44,673     44,673     44,673  
Repurchase of common stock (in shares)   (762,093)            
Repurchase of common stock (50,000)   (50,000)       (50,000)  
Treasury stock reissued (in shares)   534,109            
Treasury stock reissued to settle share-based awards (13,570)   22,035 (35,605)     (13,570)  
Ending balance (in shares) at Jan. 29, 2023   63,870,581            
Ending balance at Jan. 29, 2023 756,035 $ 785 (577,907) 471,374 858,240 3,360 755,852 183
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net income (1,092,029)       (1,092,030)   (1,092,030) 1
Other comprehensive income (loss) (6,353)         (6,353) (6,353)  
Share-based compensation 41,811     41,811     41,811  
Treasury stock reissued (in shares)   545,280            
Treasury stock reissued to settle share-based awards $ (6,714)   21,019 (27,733)     (6,714)  
Ending balance (in shares) at Jan. 28, 2024 64,415,861 64,415,861            
Ending balance at Jan. 28, 2024 $ (307,250) $ 785 (556,888) 485,452 (233,790) (2,993) (307,434) 184
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Net income (161,896)       (161,896)   (161,896) 0
Other comprehensive income (loss) (9,086)         (9,086) (9,086)  
Share-based compensation 56,603     56,603     56,603  
Distribution to outside interest upon liquidation of a consolidated subsidiary (184)             (184)
Issuance of common stock upon exchange of 2028 Notes (as defined in Note 10) (in shares)   10,378,431            
Issuance of common stock upon exchange of 2028 Notes (as defined in Note 10) 333,255 $ 100   333,155     333,255  
Issuance of common stock from public offering (see Note 18) (in shares)   10,496,032            
Issuance of common stock from public offering (see Note 18) 640,675 $ 105   640,570     640,675  
Treasury stock reissued (in shares)   982,115            
Treasury stock reissued to settle share-based awards $ (9,691)   36,377 (46,068)     (9,691)  
Ending balance (in shares) at Jan. 26, 2025 86,272,439 86,272,439            
Ending balance at Jan. 26, 2025 $ 542,426 $ 990 $ (520,511) $ 1,469,712 $ (395,686) $ (12,079) $ 542,426 $ 0