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Fair Value Measurements (Tables)
12 Months Ended
Feb. 01, 2025
Fair Value Measurements [Abstract]  
Fair Value, Assets and Liabilities Measured on Recurring Basis

Fair Value

Fair Value at

Assets

Balance Sheet Location(1)

Hierarchy

February 1, 2025

February 3, 2024

Money market funds(2)

Cash and cash equivalents

Level 1

$

439 

$

330 

Time deposits(3)

Cash and cash equivalents

Level 2

150 

60 

Money market funds(2)

Other current assets

Level 1

140 

182 

Time deposits(3)

Other current assets

Level 2

50 

50 

Marketable securities that fund deferred compensation(4)

Other assets

Level 1

39 

48 

Liabilities

Interest rate swap derivative instruments(5)

Long-term liabilities

Level 2

14 

11 

(1)Balance sheet location is determined by the length to maturity at date of purchase and whether the assets are restricted for particular use.

(2)Valued at quoted market prices in active markets at period end.

(3)Valued at face value plus accrued interest at period end, which approximates fair value.

(4)Valued using the performance of mutual funds that trade with sufficient frequency and volume to obtain pricing information on an ongoing basis.

(5)Valued using readily observable market inputs. These instruments are custom, over-the-counter contracts with various bank counterparties that are not traded on an active market. See Note 5, Derivative Instruments, for additional information.