Schedule F SUPPLEMENTAL CASH FLOW MEASURES (Unaudited) (In thousands) |
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Three Months Ended | |||||||||||||||
3Q 16 | 2Q 16 | 3Q 15 | |||||||||||||
July 30,
2016 |
April 30,
2016 |
Aug 1,
2015 |
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Net cash provided by operating activities | $ | 254,003 | $ | 320,203 | $ | 197,139 | |||||||||
Capital expenditures | (37,528 | ) | (25,517 | ) | (35,164 | ) | |||||||||
Free cash flow | $ | 216,475 | $ | 294,686 | $ | 161,975 | |||||||||
% of revenue | 24.9 | % | 37.8 | % | 18.8 | % | |||||||||