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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Nov. 02, 2024
FAIR VALUE MEASUREMENTS  
Schedule of estimated fair value and carrying value of the 2024 Notes, the Term Loan Credit Agreement and the real estate loans

NOVEMBER 2,

FEBRUARY 3,

2024

2024

    

    

PRINCIPAL

    

    

PRINCIPAL

FAIR

CARRYING

FAIR

CARRYING

VALUE

VALUE(1)

VALUE

VALUE(1)

(in thousands)

Convertible senior notes due 2024

$

$

$

39,879

$

41,904

Term loan B

1,862,400

1,940,000

1,917,715

1,955,000

Term loan B-2

 

474,075

490,000

 

490,545

 

493,750

Real estate loans

17,216

17,924

17,425

17,966

(1)The principal carrying value of the 2024 Notes excludes the discounts upon original issuance, discounts and commissions payable to the initial purchasers and third-party offering costs, as applicable. The principal carrying values of the Term Loan B and Term Loan B-2 represent the outstanding amount under each class and exclude discounts upon original issuance and third-party offering costs. The real estate loans represent the outstanding principal balance and exclude debt issuance costs.