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Current and long-term obligations (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 11, 2018
Apr. 15, 2018
Apr. 27, 2017
Aug. 03, 2018
Aug. 04, 2017
Aug. 03, 2018
Aug. 04, 2017
Apr. 10, 2018
Feb. 02, 2018
Apr. 11, 2017
Current and long-term obligations                    
Debt issuance costs, net       $ (18,386,000)   $ (18,386,000)     $ (16,515,000)  
Current and long-term obligations       2,778,720,000   2,778,720,000     3,005,958,000  
Less: current portion       (1,909,000)   (1,909,000)     (401,345,000)  
Long-term obligations       2,776,811,000   2,776,811,000     2,604,613,000  
Repayment of long-term debt           575,664,000 $ 750,584,000      
Loss on debt retirement           $ 1,019,000 3,502,000      
Senior unsecured credit facility                    
Current and long-term obligations                    
Commitment fee rate           0.15%        
Senior unsecured credit facility | LIBOR loans                    
Current and long-term obligations                    
Variable rate basis           LIBOR        
Spread on variable rate (as a percent)           1.10%        
Senior unsecured credit facility | Base-rate loans                    
Current and long-term obligations                    
Variable rate basis           base rate        
Spread on variable rate (as a percent)           0.10%        
Senior unsecured credit facility, Term Facility                    
Current and long-term obligations                    
Current and long-term obligations                 175,000,000  
Repayment of long-term debt $ 175,000,000                  
Loss on debt retirement       1,000,000   $ 1,000,000        
Senior unsecured credit facility, Revolving Facility                    
Current and long-term obligations                    
Current and long-term obligations       0   0        
Maximum financing under credit agreements       1,250,000,000   1,250,000,000        
Borrowing availability under credit facility       1,240,000,000   1,240,000,000        
Borrowing availability except for amount reserved for commercial paper program       774,100,000   774,100,000        
Senior unsecured credit facility, Revolving Facility | Letters of credit                    
Current and long-term obligations                    
Maximum financing under credit agreements       175,000,000   175,000,000        
Letters of credit outstanding       9,100,000   9,100,000        
4.125% Senior Notes due July 15, 2017                    
Current and long-term obligations                    
Stated interest rate (as a percent)     4.125%              
Loss on debt retirement         $ 3,400,000   $ 3,400,000      
Principal amount of notes redeemed     $ 500,000,000              
1.875% Senior Notes due April 15, 2018                    
Current and long-term obligations                    
Current and long-term obligations                 399,984,000  
Discount on debt issuance                 $ 16,000  
Stated interest rate (as a percent)   1.875%             1.875%  
Loss on debt retirement   $ 0                
Principal amount of notes redeemed   $ 400,000,000                
3.25% Senior Notes due April 15, 2023                    
Current and long-term obligations                    
Current and long-term obligations       898,796,000   898,796,000     $ 898,678,000  
Discount on debt issuance       $ 1,204,000   $ 1,204,000     $ 1,322,000  
Stated interest rate (as a percent)       3.25%   3.25%     3.25%  
4.150% Senior Notes due Nov 1, 2025                    
Current and long-term obligations                    
Current and long-term obligations       $ 499,402,000   $ 499,402,000     $ 499,368,000  
Discount on debt issuance       $ 598,000   $ 598,000     $ 632,000  
Stated interest rate (as a percent)       4.15%   4.15%     4.15%  
3.875% Senior Notes due April 15. 2027                    
Current and long-term obligations                    
Current and long-term obligations       $ 599,605,000   $ 599,605,000     $ 599,587,000  
Discount on debt issuance       $ 395,000   $ 395,000     $ 413,000 $ 400,000
Debt issue costs                   5,200,000
Amount borrowed                   $ 600,000,000
Stated interest rate (as a percent)       3.875%   3.875%     3.875% 3.875%
4.125% Senior Notes due May 1, 2028                    
Current and long-term obligations                    
Current and long-term obligations       $ 499,509,000   $ 499,509,000        
Discount on debt issuance       $ 491,000   $ 491,000   $ 500,000    
Debt issue costs               4,400,000    
Amount borrowed               $ 500,000,000    
Stated interest rate (as a percent)       4.125%   4.125%   4.125%    
Unsecured commercial paper notes                    
Current and long-term obligations                    
Long-term obligations       $ 280,800,000   $ 280,800,000     $ 430,200,000  
Maximum maturity           364 days        
Maximum aggregate borrowing amount       $ 1,000,000,000   $ 1,000,000,000        
Weighted average interest rate (as a percent)       2.30%   2.30%        
Unsecured commercial paper notes | Wholly-owned subsidiary                    
Current and long-term obligations                    
Long-term obligations       $ 186,000,000   $ 186,000,000        
Capital lease obligations                    
Current and long-term obligations                    
Current and long-term obligations       11,659,000   11,659,000     12,321,000  
Tax increment financing due February 1, 2035                    
Current and long-term obligations                    
Current and long-term obligations       7,335,000   7,335,000     $ 7,335,000  
Letter Of Credit Outside Of Revolving Facility                    
Current and long-term obligations                    
Letters of credit outstanding       $ 38,900,000   $ 38,900,000