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Long-term Debt and Borrowing Facilities (Tables)
3 Months Ended
May 02, 2026
Debt Disclosure [Abstract]  
Schedule Of Long-term Debt Instruments
The following table provides the Companys outstanding Long-term Debt balance, net of unamortized debt issuance costs and discounts and any current portion, as of May 2, 2026, January 31, 2026 and May 3, 2025:
May 2,
2026
January 31,
2026
May 3,
2025
(in millions)
Senior Secured Debt with Subsidiary Guarantee
$382 million Term Loan due August 2028 (“Term Loan Facility”)
$378 $379 $381 
Asset-based Revolving Credit Facility due May 2030 (“ABL Facility”)
15 — 105 
Total Senior Secured Debt with Subsidiary Guarantee393 379 486 
Senior Debt with Subsidiary Guarantee
$600 million, 4.625% Fixed Interest Rate Notes due July 2029 (“2029 Notes”)
597 596 596 
Total Senior Debt with Subsidiary Guarantee597 596 596 
Total990 975 1,082 
Current Debt(4)(4)(4)
Total Long-term Debt, Net of Current Portion$986 $971 $1,078