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DERIVATIVE INSTRUMENTS (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Oct. 20, 2020
Oct. 23, 2018
Nov. 01, 2020
Nov. 03, 2019
Nov. 01, 2020
Nov. 03, 2019
Feb. 02, 2020
Oct. 24, 2018
DERIVATIVE INSTRUMENTS                
Loss incurred to repay the pro-rata portion of the outstanding liability     $ 35.6 $ (0.3) $ 21.1 $ (20.5)    
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges                
DERIVATIVE INSTRUMENTS                
Notional amount of derivative liability $ 250.0             $ 750.0
Fixed interest rate percentage               3.07%
Cash flow hedge liabilities at fair value     21.2   21.2   $ 49.8  
Notional amount terminated 500.0   500.0   500.0      
Derivative Liability, Notional Amount 250.0             $ 750.0
Payments made to settle liability and accrued interest $ 44.4              
Loss on termination of derivatives     43.6   43.6      
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | Other current liabilities                
DERIVATIVE INSTRUMENTS                
Cash flow hedge liabilities at fair value     7.4   7.4   11.6  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | Other liabilities                
DERIVATIVE INSTRUMENTS                
Cash flow hedge liabilities at fair value     $ 13.8   $ 13.8   $ 38.2  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | LIBOR | Term B-5 Loans due 2023                
DERIVATIVE INSTRUMENTS                
Interest rate               4.82%
Percentage added to reference rate (as a percent)   1.75%