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DERIVATIVE INSTRUMENTS (Details) - USD ($)
$ in Millions
12 Months Ended
Oct. 23, 2018
Feb. 03, 2019
Oct. 24, 2018
DERIVATIVE INSTRUMENTS      
Net unrealized loss, net of tax   $ 15  
Unrealized loss on cash flow hedge, tax   5  
Derivatives designated as hedging instruments | Cash flow hedges      
DERIVATIVE INSTRUMENTS      
Net unrealized loss, net of tax   21  
Derivatives designated as hedging instruments | Cash flow hedges | Interest expense      
DERIVATIVE INSTRUMENTS      
Reclassification of unrealized loss from OCI   1  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges      
DERIVATIVE INSTRUMENTS      
Notional amount of derivative liability     $ 750
Fixed interest rate percentage     3.07%
Net unrealized loss, net of tax   15  
Unrealized loss on cash flow hedge, tax   5  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | Other long-term liabilities      
DERIVATIVE INSTRUMENTS      
Cash flow hedge liabilities at fair value   20  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | Other current liabilities      
DERIVATIVE INSTRUMENTS      
Cash flow hedge liabilities at fair value   4  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | Other liabilities]      
DERIVATIVE INSTRUMENTS      
Cash flow hedge liabilities at fair value   $ 16  
Derivatives designated as hedging instruments | Interest rate swap | Cash flow hedges | LIBOR | Term B-5 Loans due 2023      
DERIVATIVE INSTRUMENTS      
Effective interest rate percentage     4.82%
Percentage added to reference rate (as a percent) 1.75%