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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Jan. 29, 2022
FAIR VALUE MEASUREMENTS  
Summary of fair value measurements

January 29, 2022 Fair Value Measurements Using

    

Quoted Prices in

Active Markets

for Identical

Assets

(Level 1)

Marketable Securities

$

1,054

January 30, 2021 Fair Value Measurements Using

    

Quoted Prices in

    

    

 

Active Markets

Significant

 

for Identical

Unobservable

 

Assets

Inputs

 

(Level 1)

(Level 3)

Total

 

Marketable Securities

$

1,882

$

$

1,882

Other Investment

 

160

 

160

Total

$

1,882

$

160

$

2,042

Schedule of other assets

    

January 29, 2022

    

January 30, 2021

Other Assets

Equity method and other long-term investments

$

282

$

250

Notes receivable

 

191

 

240

Prepaid deposits under certain contractual arrangements

 

214

 

186

Implementation costs related to cloud computing arrangements

151

81

Funded asset status of pension plans

156

21

Other

120

129

Total

$

1,114

$

907