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Debt (Tables)
6 Months Ended
Jul. 28, 2024
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
Expected
Remaining Term (years)
Effective
Interest Rate
Carrying Value at
Jul 28, 2024Jan 28, 2024
(In millions)
0.584% Notes Due 2024 (1)
0.66%$— $1,250 
3.20% Notes Due 2026
2.13.31%1,000 1,000 
1.55% Notes Due 2028
3.91.64%1,250 1,250 
2.85% Notes Due 2030
5.72.93%1,500 1,500 
2.00% Notes Due 2031
6.92.09%1,250 1,250 
3.50% Notes Due 2040
15.73.54%1,000 1,000 
3.50% Notes Due 2050
25.73.54%2,000 2,000 
3.70% Notes Due 2060
35.73.73%500 500 
Unamortized debt discount and issuance costs(39)(41)
Net carrying amount8,461 9,709 
Less short-term portion— (1,250)
Total long-term portion$8,461 $8,459 
(1) We repaid the 0.584% Notes Due 2024 in the second quarter of fiscal year 2025.