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DEBT OBLIGATIONS (Details) - USD ($)
$ in Millions
12 Months Ended
Feb. 01, 2025
Feb. 03, 2024
Jan. 28, 2023
Dec. 11, 2024
Sep. 13, 2024
Aug. 20, 2024
DEBT OBLIGATIONS            
Total debt, excluding obligations under finance leases $ 15,909 $ 10,187        
Less current portion (104) (25)        
Total long-term debt, excluding obligations under finance leases $ 15,805 10,162        
Minimum Number Of Days Notice Required Prior to the Date of Redemption 5 days          
Redemption event 50.00%          
Cash paid for interest $ 554 636 $ 578      
Interest income 311 118 $ 33      
Senior notes due through 2064            
DEBT OBLIGATIONS            
Total debt, excluding obligations under finance leases $ 14,854 9,123        
Senior notes due through 2064 | Minimum            
DEBT OBLIGATIONS            
Interest rate (as a percent) 1.70%          
Senior notes due through 2064 | Maximum            
DEBT OBLIGATIONS            
Interest rate (as a percent) 8.00%          
Senior notes            
DEBT OBLIGATIONS            
Debt issued $ 10,500         $ 10,500
Repayment of debt 4,700          
Senior notes 3.85%            
DEBT OBLIGATIONS            
Repayment of debt   $ 600        
Interest rate (as a percent)   3.85%        
Senior notes 4.00%            
DEBT OBLIGATIONS            
Repayment of debt   $ 500        
Interest rate (as a percent)   4.00%        
Commercial paper borrowings            
DEBT OBLIGATIONS            
Total debt, excluding obligations under finance leases 0 $ 0        
Other            
DEBT OBLIGATIONS            
Total debt, excluding obligations under finance leases 1,055 1,064        
Unsecured revolving credit facility            
DEBT OBLIGATIONS            
Total debt, excluding obligations under finance leases 0 0        
Maximum borrowing capacity       $ 2,750 $ 2,750  
Outstanding letters of credit 261 314        
Reduction in funds available under letter of credit agreement $ 1 $ 2        
Unsecured revolving credit facility | Proposed Merger Closing Date            
DEBT OBLIGATIONS            
Maximum borrowing capacity         5,000  
Additional borrowing capacity         $ 2,250  
Unsecured revolving credit facility | Federal Funds Rate            
DEBT OBLIGATIONS            
Debt instrument variable basis rate Federal Funds Rate          
Interest rate margin (as a percent) 0.50%          
Unsecured revolving credit facility | Bank of America prime rate            
DEBT OBLIGATIONS            
Debt instrument variable basis rate Bank of America’s prime rate          
Unsecured revolving credit facility | One-month SOFR plus 1.0 percent plus a market rate spread based on the company's public debt rating            
DEBT OBLIGATIONS            
Debt instrument variable basis rate one-month Term SOFR plus 1.0%, plus a market rate spread based on the Company’s Public Debt Rating          
Interest rate margin (as a percent) 1.00%          
Unsecured revolving credit facility | Maximum            
DEBT OBLIGATIONS            
Leverage ratio 3.5