XML 62 R42.htm IDEA: XBRL DOCUMENT v3.20.4
Current and long-term obligations (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 11, 2018
Apr. 15, 2018
Jan. 29, 2021
Jan. 31, 2020
Feb. 01, 2019
Apr. 03, 2020
Apr. 10, 2018
Current and long-term obligations              
Debt issuance costs, net     $ (26,150) $ (16,012)      
Current and long-term obligations     4,130,975 2,911,993      
Repayment of long-term debt     4,640 1,465 $ 577,321    
Scheduled debt maturities              
2021     4,127        
2022     7,201        
2023     906,564        
2024     6,759        
2025     506,963        
Thereafter     $ 2,732,751        
LIBOR loans              
Current and long-term obligations              
Variable rate basis     LIBOR        
Spread on variable rate (as a percent)     1.015%        
Base-rate loans              
Current and long-term obligations              
Variable rate basis     base-rate        
Spread on variable rate (as a percent)     0.015%        
Senior unsecured credit facility, Revolving Facility              
Current and long-term obligations              
Current and long-term obligations     $ 0        
Maximum financing under credit agreements     $ 1,250,000        
Facility fee rate     0.11%        
Borrowing availability under credit facility     $ 1,250,000        
Borrowing availability except for amount reserved for commercial paper program     1,070,000        
Senior unsecured credit facility, Revolving Facility | Letters of credit              
Current and long-term obligations              
Maximum financing under credit agreements     175,000        
Letters of credit outstanding     $ 3,500        
Senior unsecured credit facility, Term Facility              
Current and long-term obligations              
Repayment of long-term debt $ 175,000            
Loss on debt retirement         $ 1,000    
Senior notes              
Current and long-term obligations              
Redemption price as a percentage of principal amount     101.00%        
1.875% Senior Notes due April 15, 2018              
Current and long-term obligations              
Stated interest rate (as a percent)   1.875%          
Loss on debt retirement   $ 0          
Principal amount of notes redeemed   $ 400,000          
3.25% Senior Notes due April 15, 2023              
Current and long-term obligations              
Credit facility term     10 years        
Discount on debt issuance     $ 583 $ 837      
Stated interest rate (as a percent)     3.25% 3.25%      
4.150% Senior Notes due Nov 1, 2025              
Current and long-term obligations              
Current and long-term obligations     $ 499,588 $ 499,511      
Discount on debt issuance     $ 412 $ 489      
Stated interest rate (as a percent)     4.15% 4.15%      
3.875% Senior Notes due April 15. 2027              
Current and long-term obligations              
Current and long-term obligations     $ 599,706 $ 599,664      
Discount on debt issuance     $ 294 $ 336      
Stated interest rate (as a percent)     3.875% 3.875%      
4.125% Senior Notes due May 1, 2028              
Current and long-term obligations              
Current and long-term obligations     $ 499,617 $ 499,572      
Discount on debt issuance     $ 383 $ 428     $ 500
Debt issue costs             4,400
Amount borrowed             $ 500,000
Stated interest rate (as a percent)     4.125% 4.125%     4.125%
Senior Notes Due 2030 And 2050              
Current and long-term obligations              
Debt issue costs           $ 13,600  
3.500% Senior Notes due April 3, 2030              
Current and long-term obligations              
Current and long-term obligations     $ 999,377        
Discount on debt issuance     $ 623     700  
Amount borrowed           $ 1,000,000  
Stated interest rate (as a percent)     3.50%     3.50%  
4.125% Senior Notes due April 3, 2050              
Current and long-term obligations              
Current and long-term obligations     $ 495,055        
Discount on debt issuance     $ 4,945     $ 5,000  
Amount borrowed           $ 500,000  
Stated interest rate (as a percent)     4.125%     4.125%  
Unsecured commercial paper notes              
Current and long-term obligations              
Current and long-term obligations       $ 425,200      
Maximum maturity     364 days        
Maximum aggregate borrowing amount     $ 1,000,000        
Unsecured commercial paper notes | Wholly-owned subsidiary              
Current and long-term obligations              
Current and long-term obligations     181,000        
Other              
Current and long-term obligations              
Current and long-term obligations     164,365 $ 4,895      
Letter Of Credit Outside Of Revolving Facility              
Current and long-term obligations              
Letters of credit outstanding     $ 77,700