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LONG-TERM EXTERNAL BORROWINGS (Tables)
3 Months Ended
Feb. 01, 2026
LONG-TERM EXTERNAL BORROWINGS  
Long-Term Borrowings

Long-term external borrowings consisted of the following:

​

​

​

​

​

​

​

​

​

​

​

​

February 1

​

November 2

​

January 26

​

​

2026

​

2025

​

2025

Medium-term notes

​

$

29,721.8

​

$

31,394.0

​

$

32,339.9

Finance lease obligations

​

​

.2

​

​

.2

​

​

.1

Debt issuance costs and debt discounts

​

​

(85.8)

​

​

(92.3)

​

​

(103.6)

Total

​

$

29,636.2

​

$

31,301.9

​

$

32,236.4

Medium-term notes due through 2034 are primarily offered by prospectus and issued at fixed and variable rates. The principal balances of the medium-term notes were $29,912.5, $31,595.1, and $33,128.1 at February 1, 2026, November 2, 2025, and January 26, 2025, respectively.