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Long-term Debt and Borrowing Facilities (Tables)
6 Months Ended
Jul. 29, 2023
Debt Disclosure [Abstract]  
Schedule Of Long-term Debt Instruments
The following table provides the Company's outstanding debt balance, net of unamortized debt issuance costs and discounts, as of July 29, 2023, January 28, 2023 and July 30, 2022:
July 29,
2023
January 28,
2023
July 30,
2022
(in millions)
Senior Secured Debt with Subsidiary Guarantee
$393 million Term Loan due August 2028 (“Term Loan Facility”)
$385 $387 $388 
Asset-based Revolving Credit Facility due August 2026 (“ABL Facility”)
295 295 — 
Total Senior Secured Debt with Subsidiary Guarantee680 682 388 
Senior Debt with Subsidiary Guarantee
$600 million, 4.625% Fixed Interest Rate Notes due July 2029 (“2029 Notes”)
594 593 593 
Total Senior Debt with Subsidiary Guarantee594 593 593 
Total1,274 1,275 981 
Current Debt(4)(4)(4)
Total Long-term Debt, Net of Current Portion$1,270 $1,271 $977