Quarterly report pursuant to Section 13 or 15(d)

CONSOLIDATED STATEMENTS OF CASH FLOWS

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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Nov. 02, 2024
May 04, 2024
Feb. 03, 2024
Oct. 28, 2023
Apr. 29, 2023
Jul. 29, 2023
Nov. 02, 2024
Oct. 28, 2023
Feb. 03, 2024
Jan. 28, 2023
Cash flows from operating activities:                    
Net income $ 28 $ 62 $ (128) $ 41 $ 151 $ 132 $ 240 $ 173 $ 45 $ 1,146
Adjustments to reconcile net income to net cash provided by operating activities:                    
Impairment, restructuring and other costs (23)     15     (5) 21    
Settlement charges 0     7     0 129    
Depreciation and amortization             657 665    
Stock-based compensation expense             42 45    
Gains on sale of real estate (66)     (5)     (103) (20)    
Benefit plans             1 4    
Amortization of financing costs and premium on acquired debt             9 8    
Deferred income taxes             (48) (43)    
Changes in assets and liabilities:                    
Decrease in receivables             68 82    
Increase in merchandise inventories             (1,840) (1,757)    
(Increase) decrease in prepaid expenses and other current assets             (19) 30    
Increase in merchandise accounts payable             1,327 1,334    
Decrease in accounts payable and accrued liabilities             (206) (302) (266) (133)
Decrease in current income taxes             (71) (124) 3 (85)
Change in other assets and liabilities             (82) (87)    
Net cash (used) provided by operating activities             (30) 158    
Cash flows from investing activities:                    
Purchase of property and equipment             (399) (485)    
Capitalized software             (250) (264)    
Proceeds from disposition of assets, net             187 36    
Other, net             7 (3)    
Net cash used by investing activities             (455) (716)    
Cash flows from financing activities:                    
Debt issued             176 311    
Debt issuance costs             (1) (1)    
Debt repaid             (313) (153)    
Debt repurchase premium and expenses             1 0    
Dividends paid             (144) (135)    
Increase in outstanding checks             47 76    
Acquisition of treasury stock             0 (38)    
Net cash (used) provided by financing activities             (234) 60    
Net decrease in cash, cash equivalents and restricted cash             (719) (498)    
Cash, cash equivalents and restricted cash beginning of period   $ 1,037 367   $ 865 $ 865 1,037 865 865  
Cash, cash equivalents and restricted cash end of period 318   $ 1,037 367     318 367 $ 1,037 $ 865
Supplemental cash flow information:                    
Interest paid             137 138    
Interest received             30 19    
Income taxes paid, net of refunds received             207 217    
Restricted cash, end of period $ 3     $ 3     $ 3 $ 3