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DEBT (Details 9) (First Priority Notes due 2019, HDS, USD $)
In Millions, unless otherwise specified
0 Months Ended 12 Months Ended
Aug. 02, 2012
Feb. 02, 2014
Feb. 03, 2013
Apr. 12, 2012
Feb. 02, 2014
2015
Feb. 02, 2014
2016
Feb. 02, 2014
2017
Feb. 02, 2014
2018 and thereafter
Feb. 02, 2014
Prior to April 15, 2015
Components of long-term debt                  
Note issued, amount       $ 950          
Note issued, interest rate   8.125% 8.125% 8.125%          
Additional debt issued $ 300                
Premium percentage on debt issued 107.50%                
Collateral pledged, percentage outstanding capital of any foreign subsidiary   65.00%              
Optional prepayment price percentage         106.094% 104.063% 102.031% 100.00% 100.00%
Percentage limit on amount that can be redeemed                 35.00%
Prepayment percentage price as a percent of the principal, with proceeds from certain equity offerings                 108.125%
Threshold percentage for debt that must remain after each redemption                 50.00%