v3.26.1
CREDIT FACILITIES AND CONVERTIBLE SENIOR NOTES (Tables)
12 Months Ended
Jan. 31, 2026
CREDIT FACILITIES AND CONVERTIBLE SENIOR NOTES  
Schedule of outstanding balances under our credit facilities

JANUARY 31,

FEBRUARY 1,

2026

2025

UNAMORTIZED

UNAMORTIZED

DEBT

NET

DEBT

NET

INTEREST

OUTSTANDING

ISSUANCE

CARRYING

OUTSTANDING

ISSUANCE

CARRYING

RATE

  ​ ​ ​

AMOUNT

  ​ ​ ​

COSTS

  ​ ​ ​

AMOUNT

  ​ ​ ​

AMOUNT

  ​ ​ ​

COSTS

  ​ ​ ​

AMOUNT

(dollars in thousands)

Asset based credit facility(1)

5.30%

$

20,000

$

$

20,000

$

200,000

$

$

200,000

Term loan B(2)

6.29%

1,915,000

(8,630)

1,906,370

1,935,000

(11,856)

1,923,144

Term loan B-2(3)

7.02%

483,750

(11,451)

472,299

488,750

(15,731)

473,019

Total credit facilities

$

2,418,750

$

(20,081)

$

2,398,669

$

2,623,750

$

(27,587)

$

2,596,163