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DEBT (Details 4) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended 12 Months Ended 0 Months Ended 12 Months Ended 0 Months Ended 3 Months Ended 0 Months Ended 12 Months Ended
Feb. 03, 2013
Apr. 29, 2012
Feb. 03, 2013
Jan. 30, 2011
Feb. 03, 2013
ABL Facility due 2017
Feb. 03, 2013
First Priority Notes due 2019
Apr. 12, 2012
First Priority Notes due 2019
Feb. 03, 2013
Second Priority Notes due 2020
Apr. 12, 2012
Second Priority Notes due 2020
Feb. 03, 2013
14.875% Senior Notes
Feb. 01, 2013
14.875% Senior Notes
Apr. 12, 2012
14.875% Senior Notes
Feb. 03, 2013
Old Senior Notes
Jan. 29, 2012
Old Senior Notes
Feb. 03, 2013
Refinancing Transactions and Additional Notes
Apr. 12, 2012
Refinancing Transactions and Additional Notes
Term Loan Facility
Apr. 12, 2012
Refinancing Transactions and Additional Notes
ABL Facility due 2017
Apr. 12, 2012
Refinancing Transactions and Additional Notes
Old ABL Credit Facility
Apr. 12, 2012
Refinancing Transactions and Additional Notes
Old ABL Credit Facility
Apr. 12, 2012
Refinancing Transactions and Additional Notes
Old Senior Secured Credit Facility
Feb. 03, 2013
Refinancing Transactions and Additional Notes
Old Senior Secured Credit Facility
Feb. 03, 2013
Refinancing Transactions and Additional Notes
Old Credit Facilities
Aug. 02, 2012
Refinancing Transactions and Additional Notes
First Priority Notes due 2019
Oct. 28, 2012
Refinancing Transactions and Additional Notes
First Priority Notes due 2019
Apr. 12, 2012
Refinancing Transactions and Additional Notes
First Priority Notes due 2019
Apr. 12, 2012
Refinancing Transactions and Additional Notes
Second Priority Notes due 2020
Apr. 12, 2012
Refinancing Transactions and Additional Notes
14.875% Senior Notes
Apr. 12, 2012
Refinancing Transactions and Additional Notes
14.875% Senior Notes
Equity sponsors and affiliates
Feb. 03, 2013
Refinancing Transactions and Additional Notes
Old Senior Notes
Debt disclosures                                                          
Note issued, amount                                                 $ 950 $ 675 $ 757    
Note issued, interest rate         1.96% 8.125% 8.125% 11.00% 11.00%   14.875% 14.875%   12.00%                     8.125% 11.00% 14.875%    
Line of credit facility, maximum borrowing capacity         1,500                     1,000 1,500                        
Non-cash investment in notes                                                       484  
Additional debt issued                                             300            
Premium percentage on debt issued                                             107.50%            
Proceeds from issuance of note     6,365                                         317          
Debt issuance costs incurred                             80                            
Gains (losses) on extinguishment of debt (489) (220) (709) (2)           (452)         (220)                            
Premium Payment for redeeming notes prior to maturity                   422                                     150
Extinguishment of debt, write-off unamortized deferred debt costs                   2         46     42       22             24
Extinguishment of debt, write-off remaining unamortized other asset                   28                     24                
Amount of debt extinguished                         $ 930           $ 834 $ 1,169 $ 930