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DEBT (Tables)
12 Months Ended
Feb. 01, 2020
DEBT  
Schedule of outstanding debt

Long-term debt consists of the following (in thousands):

​

​

​

​

​

​

​

​

​

​

​

​

February 1,

​

February 2,

​

Interest Rate

​

2020

​

2019

Term loan credit facility

Variable

​

$

2,182,550

​

$

2,207,450

Senior notes

8.00

%

 

500,000

​

 

—

Senior subordinated notes

5.875

%

 

—

​

 

510,000

Total debt

​

​

 

2,682,550

​

 

2,717,450

Less unamortized discount/premium and debt costs

​

​

​

(13,190)

​

​

(11,550)

Total debt, net

​

​

​

2,669,360

​

​

2,705,900

Less current portion

​

​

 

(24,900)

​

 

(24,900)

Long-term debt

​

​

$

2,644,460

​

$

2,681,000

​

Schedule of aggregate amount of scheduled maturities of debt

The aggregate amount of scheduled debt payments through maturity are as follows (in thousands):

​

​

​

​

​

Fiscal Year

​

​

​

2020

​

$

24,900

2021

​

 

18,675

2022

​

 

2,138,975

2023

​

 

—

2024

​

​

—

Thereafter

​

​

500,000

Total debt payments

​

$

2,682,550

Schedule of redemption prices

​

​

​

​

​

Year

​

Percentage

​

2022

​

104

%

2023

​

102

%

2024 and thereafter

100

%