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Annual report pursuant to Section 13 and 15(d)

OTHER ASSETS

v3.23.1
OTHER ASSETS
12 Months Ended
Apr. 01, 2023
Deferred Costs, Capitalized, Prepaid, and Other Assets Disclosure [Abstract] Ìý
OTHER ASSETS OTHER ASSETS
(In thousands) March 2023 March 2022
Income taxes receivable and prepaid income taxes $ 1,004,289Ìý $ 112,006Ìý
Computer software, net of accumulated amortization of: March 2023 - $256,414; March 2022 - $284,880
348,739Ìý 316,682Ìý
Pension assets (Note 16) 183,929Ìý 213,820Ìý
Investments held for deferred compensation plans (Note 16) 120,423Ìý 165,825Ìý
Deferred income taxes (Note 19) 95,117Ìý 100,980Ìý
Deposits 42,746Ìý 46,247Ìý
Partnership stores and shop-in-shop costs, net of accumulated amortization of: March 2023 - $90,072; March 2022 - $94,872
24,743Ìý 31,567Ìý
Derivative financial instruments (Note 24) 1,556Ìý 7,136Ìý
Other investments 27,542Ìý 14,358Ìý
Deferred line of credit issuance costs 2,689Ìý 3,117Ìý
Other 50,150Ìý 59,399Ìý
Other assets $ 1,901,923Ìý $ 1,071,137Ìý