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Long-Term Debt and Credit Lines - Additional Information (Detail)
£ in Millions, CAD in Millions
12 Months Ended
Mar. 29, 2016
USD ($)
Jul. 08, 2014
USD ($)
Jan. 30, 2016
USD ($)
CreditFacility
Jan. 31, 2015
USD ($)
Jan. 30, 2016
GBP (£)
CreditFacility
Jan. 30, 2016
CAD
CreditFacility
Jan. 31, 2015
GBP (£)
Jan. 31, 2015
CAD
Debt Instrument [Line Items]                
Loss on early extinguishment of debt       $ (16,830,000)        
Revolving credit facilities, number | CreditFacility     2   2 2    
Ratio of funded debt and four-times consolidated rentals to consolidated earnings before interest, taxes, consolidated rentals, depreciation and amortization     275.00%   275.00% 275.00%    
Credit facilities, amount outstanding     $ 0   £ 0   £ 0  
2.75% Seven-Year Notes                
Debt Instrument [Line Items]                
Aggregate principal amount     $ 750,000,000          
Debt instrument, interest rate     2.75%   2.75% 2.75%    
Debt instrument maturity period, years     7 years          
Debt instrument maturity date     2021-06          
Effective fixed rate     2.91%   2.91% 2.91%    
Cash flow hedges, pre-tax realized loss     $ 7,900,000          
4.20% Six-Year Notes                
Debt Instrument [Line Items]                
Debt instrument, redemption date   Jul. 31, 2014            
Loss on early extinguishment of debt   $ 16,800,000            
Write off, unamortized debt expenses and discount   400,000            
4.20% Six-Year Notes | Redemption premium                
Debt Instrument [Line Items]                
Loss on early extinguishment of debt   $ 16,400,000            
2.50% Ten-Year Notes                
Debt Instrument [Line Items]                
Aggregate principal amount     $ 500,000,000          
Debt instrument, interest rate     2.50%   2.50% 2.50%    
Debt instrument maturity period, years     10 years          
Debt instrument maturity date     2023-05          
Effective fixed rate     2.57%   2.57% 2.57%    
2.50% Ten-Year Notes | Interest Rate Contract                
Debt Instrument [Line Items]                
Amount hedged into treasury rate-lock agreement     $ 250,000,000          
6.95% Ten-Year Notes                
Debt Instrument [Line Items]                
Aggregate principal amount     $ 375,000,000          
Debt instrument, interest rate     6.95%   6.95% 6.95%    
Debt instrument maturity period, years     10 years          
Debt instrument maturity date     2019-04          
Effective fixed rate     7.00%   7.00% 7.00%    
6.95% Ten-Year Notes | Interest Rate Contract                
Debt Instrument [Line Items]                
Amount hedged into treasury rate-lock agreement     $ 375,000,000          
Revolving Credit Facility May 2016                
Debt Instrument [Line Items]                
Debt instrument maturity date     2016-05          
Current borrowing capacity     $ 500,000,000          
Quarterly payments on unused committed amounts     0.10%          
Revolving Credit Facility June 2017                
Debt Instrument [Line Items]                
Debt instrument maturity date     2017-06          
Current borrowing capacity     $ 500,000,000          
Quarterly payments on unused committed amounts     0.06%          
Revolving Credit Facility March Twenty Twenty One                
Debt Instrument [Line Items]                
Credit facilities, amount outstanding     $ 0          
Revolving Credit Facility March Twenty Twenty One | Subsequent Event                
Debt Instrument [Line Items]                
Debt instrument maturity date 2021-03              
Current borrowing capacity $ 500,000,000              
Quarterly payments on unused committed amounts 0.06%              
Credit facility expiration period 5 years              
Revolving Credit Facility March Twenty Twenty                
Debt Instrument [Line Items]                
Credit facilities, amount outstanding     $ 0          
Revolving Credit Facility March Twenty Twenty | Subsequent Event                
Debt Instrument [Line Items]                
Debt instrument maturity date 2020-03              
Current borrowing capacity $ 500,000,000              
Quarterly payments on unused committed amounts 0.06%              
Credit facility expiration period 4 years              
TJX Canada Facility                
Debt Instrument [Line Items]                
Current borrowing capacity | CAD           CAD 10   CAD 10
Credit facilities, amount outstanding | CAD           0   0
TJX Canada Facility | Letter of Credit                
Debt Instrument [Line Items]                
Current borrowing capacity | CAD           CAD 10   CAD 10
TJX International                
Debt Instrument [Line Items]                
Current borrowing capacity | £         £ 5   £ 20