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DEBT (Details 5) - HD Supply, Inc
6 Months Ended
Aug. 02, 2015
Feb. 01, 2015
11% Senior Secured Second Priority Notes due 2020    
Debt    
Note issued, interest rate 11.00% 11.00%
11% Senior Secured Second Priority Notes due 2020 | Prior to April 15, 2016    
Debt    
Optional prepayment price percentage 100.00%  
11% Senior Secured Second Priority Notes due 2020 | 2016    
Debt    
Optional prepayment price percentage 105.50%  
11% Senior Secured Second Priority Notes due 2020 | 2017    
Debt    
Optional prepayment price percentage 102.75%  
11% Senior Secured Second Priority Notes due 2020 | 2018 and thereafter    
Debt    
Optional prepayment price percentage 100.00%  
First Priority Notes due 2019    
Debt    
Collateral pledged, percentage outstanding capital of any foreign subsidiary 65.00%