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Long-Term Debt (Tables)
9 Months Ended
Oct. 30, 2020
Long-Term Debt  
Schedule of Unsecured Notes Issued On October 22, 2020, the Company issued $4.0 billion of unsecured fixed rate notes (October 2020 Notes) as follows:
Principal Amount
(in millions)
Maturity DateInterest RateDiscount (in millions)
$1,000 April 20281.300%$
$1,250 October 20301.700%$10 
$1,750 October 20503.000%$17 

On March 26, 2020, the Company issued $4.0 billion of unsecured fixed rate notes (March 2020 Notes) as follows:
Principal Amount
(in millions)
Maturity DateInterest RateDiscount (in millions)
$750 April 20254.000%$
$1,250 April 20304.500%$12 
$750 April 20405.000%$10 
$1,250 April 20505.125%$13