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Long-term Debt (Schedule Of Long-term Debt Instruments) (Details) - USD ($)
$ in Millions
Jul. 29, 2017
Jan. 28, 2017
Jul. 30, 2016
Senior Unsecured Debt with Subsidiary Guarantee $ 5,059 $ 5,055 $ 5,057
Unsecured Debt 709 681 662
Debt, Current (64) (36) (13)
Debt, Long-term and Short-term, Combined Amount 5,768 5,736 5,719
Total Long-term Debt, Net of Current Portion 5,704 5,700 5,706
Fixed Rate 6.875% Notes Due November 2035 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 990 989 989
Fixed Rate 5.625% Notes Due February 2022 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 993 992 992
Fixed Rate 6.625% Notes Due April 2021 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 993 992 991
Fixed Rate 5.625% Notes Due October 2023 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 497 497 497
Fixed Rate 8.50% Notes Due June 2019 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee [1] 497 496 500
Fair Value Interest Rate Hedge Adjustment 2 2 8
Fixed Rate 7.00% Notes Due May 2020 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 397 397 396
Fixed Rate 6.95% Debentures Due March 2033 [Member]      
Senior Unsecured Debt 348 348 348
Fixed Rate 7.60% Notes Due July 2037 [Member]      
Senior Unsecured Debt 297 297 297
Fixed Rate 6.75% Notes Due July 2036 [Member]      
Senior Unsecured Debt with Subsidiary Guarantee 692 692 692
Foreign Facilities [Member]      
Other Borrowings $ 64 $ 36 $ 17
[1] The balances include a fair value interest rate hedge adjustment which increased the debt balance by $2 million as of July 29, 2017, $2 million as of January 28, 2017 and $8 million as of July 30, 2016.