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Current and long-term obligations (Tables)
12 Months Ended
Jan. 31, 2020
Current and long-term obligations  
Schedule of current and long-term debt obligations

    

January 31,

    

February 1,

 

(In thousands)

2020

2019

 

Revolving Facility

$

$

3.250% Senior Notes due April 15, 2023 (net of discount of $837 and $1,084)

 

899,163

 

898,916

4.150% Senior Notes due November 1, 2025 (net of discount of $489 and $562)

499,511

499,438

3.875% Senior Notes due April 15, 2027 (net of discount of $336 and $375)

599,664

599,625

4.125% Senior Notes due May 1, 2028 (net of discount of $428 and $471)

499,572

499,529

Unsecured commercial paper notes

425,200

366,900

Other

4,895

17,337

Debt issuance costs, net

 

(16,012)

 

(17,055)

 

2,911,993

 

2,864,690

Less: current portion

 

(555)

 

(1,950)

Long-term portion

$

2,911,438

$

2,862,740