v3.20.4
Restructuring and Other Related Charges - Reconciliation of Restructuring Liability (Details) - USD ($)
$ in Thousands
12 Months Ended
Jan. 30, 2021
Feb. 01, 2020
Restructuring Reserve [Roll Forward]    
Balance at beginning of period $ 14,428 $ 40,356
Restructuring charges 55,669 39,244
Net cash payments (57,014) (37,768)
Release of reserves (2,312) (1,511)
Effect of adoption of new lease standard   (25,893)
Exchange rate adjustment 29  
Balance at end of period 10,800 14,428
Less: non-current portion 1,757  
Current portion 9,043 14,302
Severance and related costs    
Restructuring Reserve [Roll Forward]    
Restructuring charges   31,200
Facilities and related costs    
Restructuring Reserve [Roll Forward]    
Restructuring charges   20,000
Other exit-related costs    
Restructuring Reserve [Roll Forward]    
Restructuring charges   4,100
July 2018 Restructuring | Severance and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 916 12,403
Restructuring charges 24,923 16,698
Net cash payments (22,751) (27,706)
Release of reserves (794) (479)
Effect of adoption of new lease standard   0
Exchange rate adjustment 29  
Balance at end of period 2,323 916
Less: non-current portion 0  
Current portion 2,323  
July 2018 Restructuring | Facilities and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 457 26,904
Restructuring charges 5,405 3,713
Net cash payments (4,364) (3,374)
Release of reserves (103) (893)
Effect of adoption of new lease standard   (25,893)
Exchange rate adjustment 0  
Balance at end of period 1,395 457
Less: non-current portion 1,119  
Current portion 276  
July 2018 Restructuring | Other exit-related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 536 1,049
Restructuring charges 2,536 3,429
Net cash payments (2,291) (3,804)
Release of reserves (7) (138)
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 774 536
Less: non-current portion 49  
Current portion 725  
November 2019 Restructuring | Severance and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 12,312 0
Restructuring charges 3,938 14,987
Net cash payments (15,323) (2,674)
Release of reserves (768) (1)
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 159 12,312
Less: non-current portion 0  
Current portion 159  
November 2019 Restructuring | Facilities and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 196 0
Restructuring charges 0 225
Net cash payments (178) (29)
Release of reserves (18) 0
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 0 196
Less: non-current portion 0  
Current portion 0  
November 2019 Restructuring | Other exit-related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 11 0
Restructuring charges 0 192
Net cash payments (6) (181)
Release of reserves (5) 0
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 0 11
Less: non-current portion 0  
Current portion 0  
July 2020 Restructuring | Severance and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 0 0
Restructuring charges 13,040 0
Net cash payments (9,309) 0
Release of reserves (617) 0
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 3,114 0
Less: non-current portion 0  
Current portion 3,114  
July 2020 Restructuring | Facilities and related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 0 0
Restructuring charges 0 0
Net cash payments 0 0
Release of reserves 0 0
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 0 0
Less: non-current portion 0  
Current portion 0  
July 2020 Restructuring | Other exit-related costs    
Restructuring Reserve [Roll Forward]    
Balance at beginning of period 0 0
Restructuring charges 5,827 0
Net cash payments (2,792) 0
Release of reserves 0
Effect of adoption of new lease standard   0
Exchange rate adjustment 0  
Balance at end of period 3,035 $ 0
Less: non-current portion 589  
Current portion $ 2,446