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Fair value measurement (Tables)
9 Months Ended
Nov. 01, 2025
Fair Value Disclosures [Abstract]  
Schedule of Methods to Determine Fair Value on Instrument-Specific Basis The methods used by the Company to determine fair value on an instrument-specific basis are detailed below:
November 1, 2025February 1, 2025November 2, 2024
(in millions)Carrying ValueLevel 1Level 2Carrying ValueLevel 1Level 2Carrying ValueLevel 1Level 2
Assets:
US Treasury securities
$5.4 $5.4 $ $5.2 $5.2 $— $5.9 $5.9 $— 
Foreign currency contracts
0.4  0.4 0.4 — 0.4 0.2 — 0.2 
Commodity contracts11.2  11.2 — — — — — — 
Total assets
$17.0 $5.4 $11.6 $5.6 $5.2 $0.4 $6.1 $5.9 $0.2 
Liabilities:
Foreign currency contracts
$(0.9)$ $(0.9)$(0.7)$— $(0.7)$(0.5)$— $(0.5)
Commodity contracts(2.7) (2.7)— — — — — — 
Total liabilities$(3.6)$ $(3.6)$(0.7)$— $(0.7)$(0.5)$— $(0.5)