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Borrowings (Tables)
3 Months Ended
Apr. 29, 2011
BORROWINGS [Abstract]  
Outstanding Debt [Text Block]
 
 
April 29,

2011
 
January 28,

2011
 
 
(in millions)
Long-Term Debt
 
 
 
 
 
 
Notes
 
 
 
 
 
 
$400 million issued on June 10, 2009, at 3.375% due June 2012 (“2012 Notes”) with interest payable June 15 and December 15 (includes impact of interest rate swap terminations)
 
$
400
 
 
$
400
 
$600 million issued on April 17, 2008, at 4.70% due April 2013 (“2013A Notes”) with interest payable April 15 and October 15 (includes impact of interest rate swap terminations)
 
608
 
 
609
 
$500 million issued on September 7, 2010, at 1.40% due September 2013 (“2013B Notes”) with interest payable March 10 and September 10
 
499
 
 
499
 
$500 million issued on April 1, 2009, at 5.625% due April 2014 (“2014A Notes”) with interest payable April 15 and October 15
 
500
 
 
500
 
$300 million issued on March 28, 2011, with a floating rate due April 2014 (“2014B Notes”) with interest payable January 1, April 1, July 1 and October 1
 
300
 
 
 
$400 million issued on March 28, 2011, at 2.10% due April 2014 (“2014C Notes”) with interest payable April 1 and October 1
 
400
 
 
 
$700 million issued on September 7, 2010, at 2.30% due September 2015 (“2015 Notes”) with interest payable March 10 and September 10
 
700
 
 
700
 
$400 million issued on March 28, 2011, at 3.10% due April 2016 (“2016 Notes”) with interest payable April 1 and October 1
 
400
 
 
 
$500 million issued on April 17, 2008, at 5.65% due April 2018 (“2018 Notes”) with interest payable April 15 and October 15
 
499
 
 
499
 
$600 million issued on June 10, 2009, at 5.875% due June 2019 (“2019 Notes”) with interest payable June 15 and December 15
 
600
 
 
600
 
$400 million issued on March 28, 2011, at 4.625% due April 2021 (“2021 Notes”) with interest payable April 1 and October 1
 
398
 
 
 
$400 million issued on April 17, 2008, at 6.50% due April 2038 (“2038 Notes”) with interest payable April 15 and October 15
 
400
 
 
400
 
$300 million issued on September 7, 2010, at 5.40% due September 2040 (“2040 Notes”) with interest payable March 10 and September 10
 
300
 
 
300
 
Senior Debentures
 
 
 
 
 
 
$300 million issued on April 3, 1998 at 7.10% due April 2028 with interest payable April 15 and October 15 (includes the impact of interest rate swap terminations) ("Senior Debentures")
 
388
 
 
389
 
Other
 
 
 
 
 
 
Structured financing debt
 
402
 
 
250
 
Total long-term debt
 
6,794
 
 
5,146
 
Short-Term Debt
 
 
 
 
 
 
Structured financing debt
 
815
 
 
850
 
Other
 
1
 
 
1
 
Total short-term debt
 
816
 
 
851
 
Total debt
 
$
7,610
 
 
$
5,997