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Debt (Tables)
12 Months Ended
Jan. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Debt Components
The components of the Company's borrowings were as follows (in millions):
InstrumentDate of IssuanceMaturity DateContractual Interest Rate
Outstanding Principal as of January 31, 2025
Carrying Value as of January 31, 2025Carrying Value as of January 31, 2024
2024 Senior Notes (1)July 2021July 20240.625 %999 
2028 Senior NotesApril 2018April 20283.70 1,500 1,496 1,495 
2028 Senior Sustainability NotesJuly 2021July 20281.50 1,000 995 994 
2031 Senior NotesJuly 2021July 20311.95 1,500 1,491 1,490 
2041 Senior NotesJuly 2021July 20412.70 1,250 1,236 1,235 
2051 Senior NotesJuly 2021July 20512.90 2,000 1,979 1,978 
2061 Senior NotesJuly 2021July 20613.05 1,250 1,236 1,235 
Total carrying value of debt8,500 8,433 9,426 
Less current portion of debt(999)
Total noncurrent debt$8,433 $8,427 
(1) The Company repaid in full the 2024 Senior Notes in the second quarter of fiscal 2025.
Schedule of Future Principal Payments
The contractual future principal payments for all borrowings as of January 31, 2025 were as follows (in millions):
Fiscal Period:
Fiscal 2026$
Fiscal 2027
Fiscal 2028
Fiscal 20292,500 
Fiscal 2030
Thereafter6,000 
Total principal outstanding$8,500