Long-Term Debt Long-Term Debt (Tables)
3 Months Ended
Apr. 30, 2016
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
($ in millions)
 
April 30, 2016
 
May 2, 2015
 
January 30, 2016
Issue:
 
 
 
 
 
 
5.65% Senior Notes Due 2020 (1)
 
$
400

 
$
400

 
$
400

5.75% Senior Notes Due 2018 (1)
 
265

 
300

 
300

6.375% Senior Notes Due 2036 (1)
 
388

 
400

 
400

6.9% Notes Due 2026
 
2

 
2

 
2

7.125% Debentures Due 2023
 
10

 
10

 
10

7.4% Debentures Due 2037
 
313

 
326

 
326

7.625% Notes Due 2097
 
500

 
500

 
500

7.65% Debentures Due 2016
 
78

 
78

 
78

7.95% Debentures Due 2017
 
220

 
220

 
220

8.125% Senior Notes Due 2019
 
400

 
400

 
400

2013 Term Loan Facility
 
2,188

 
2,211

 
2,194

2014 Term Loan
 
—

 
496

 
—

Total debt, excluding unamortized debt issuance costs, capital leases and note payable
 
4,764

 
5,343

 
4,830

Unamortized debt issuance costs
 
(55
)
 
(89
)
 
(61
)
Total debt, excluding capital leases and note payable
 
4,709

 
5,254

 
4,769

Less: current maturities
 
321

 
28

 
101

Total long-term debt, excluding capital leases and note payable
 
$
4,388

 
$
5,226

 
$
4,668


(1)
These debt issuances contain a change of control provision that would obligate us, at the holders’ option, to repurchase the debt at a price of 101%.