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DEBT (Details 5) (HDS)
3 Months Ended 3 Months Ended
May 04, 2014
Second Priority Notes due 2020
Feb. 02, 2014
Second Priority Notes due 2020
May 04, 2014
Second Priority Notes due 2020
Prior to April 15, 2016
May 04, 2014
Second Priority Notes due 2020
2016
May 04, 2014
Second Priority Notes due 2020
2017
May 04, 2014
Second Priority Notes due 2020
2018 and thereafter
May 04, 2014
Second Priority Notes due 2020
Prior to April 15, 2015
May 04, 2014
First Priority Notes due 2019
Feb. 02, 2014
First Priority Notes due 2019
May 04, 2014
First Priority Notes due 2019
2016
May 04, 2014
First Priority Notes due 2019
2017
May 04, 2014
First Priority Notes due 2019
2018 and thereafter
May 04, 2014
First Priority Notes due 2019
Prior to April 15, 2015
Components of long-term debt                          
Note issued, interest rate 11.00% 11.00%           8.125% 8.125%        
Optional prepayment price percentage     100.00% 105.50% 102.75% 100.00%       104.063% 102.031% 100.00% 100.00%
Percentage limit on amount that can be redeemed             35.00%           35.00%
Prepayment percentage price as a percent of the principal, with proceeds from certain equity offerings             111.00%           108.125%
Threshold percentage for debt that must remain after each redemption 50.00%                       50.00%
Collateral pledged, percentage outstanding capital of any foreign subsidiary               65.00%