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Long-Term Debt Long-Term Debt (Tables)
3 Months Ended
May 02, 2020
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
($ in millions)May 2, 2020May 4, 2019February 1, 2020
Issue:   
8.125% Senior Notes Due 2019$—  $50  $—  
5.65% Senior Notes Due 2020 (1)
105  110  105  
2017 Credit Facility (Matures in 2022)1,179  118  —  
2016 Term Loan Facility (Matures in 2023)1,521  1,572  1,540  
5.875% Senior Secured Notes Due 2023 (1)
500  500  500  
7.125% Debentures Due 202310  10  10  
8.625% Senior Secured Second Priority Notes Due 2025 (1)
400  400  400  
6.9% Notes Due 2026   
6.375% Senior Notes Due 2036 (1)
388  388  388  
7.4% Debentures Due 2037313  313  313  
7.625% Notes Due 2097500  500  500  
Total debt4,918  3,963  3,758  
Unamortized debt issuance costs(34) (45) (37) 
Less: current portion (4,884) (92) (147) 
Total long-term debt$—  $3,826  $3,574  

(1)These debt issuances contain a change of control provision that would obligate us, at the holders’ option, to repurchase the debt at a price of 101%.