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CREDIT FACILITIES AND CONVERTIBLE SENIOR NOTES - Outstanding Balances (Detail) - USD ($)
$ in Thousands
12 Months Ended
Jan. 31, 2026
Feb. 01, 2025
Line of Credit Facility    
Outstanding Amount $ 2,418,750 $ 2,623,750
Unamortized Debt Issuance Costs (20,081) (27,587)
Net Carrying Amount 2,398,669 2,596,163
Term loan B | Term Loan Credit Agreement    
Line of Credit Facility    
Outstanding Amount $ 1,895,000 1,915,000
RHI | Term loan B    
Line of Credit Facility    
Interest Rate 6.29%  
Outstanding Amount $ 1,915,000 1,935,000
Unamortized Debt Issuance Costs (8,630) (11,856)
Net Carrying Amount $ 1,906,370 1,923,144
RHI | Term loan B-2    
Line of Credit Facility    
Interest Rate 7.02%  
Outstanding Amount $ 483,750 488,750
Unamortized Debt Issuance Costs (11,451) (15,731)
Net Carrying Amount $ 472,299 473,019
RHI, Canadian subsidiary and other subsidiaries | Asset based credit facility    
Line of Credit Facility    
Interest Rate 5.30%  
Outstanding Amount $ 20,000 200,000
Net Carrying Amount 20,000 200,000
RHI, Canadian subsidiary and other subsidiaries | Other Noncurrent Assets | Revolving line of credit    
Line of Credit Facility    
Deferred financing fees 3,400 1,500
RHI, Canadian subsidiary and other subsidiaries | Term loan B-2 | Term loan B-2    
Line of Credit Facility    
Net Carrying Amount 479,000 484,000
RHI, Canadian subsidiary and other subsidiaries | Other current liabilities | Term loan B | Term Loan Credit Agreement    
Line of Credit Facility    
Current portion of debt 20,000 20,000
RHI, Canadian subsidiary and other subsidiaries | Other current liabilities | Term loan B-2 | Term Loan Credit Agreement    
Line of Credit Facility    
Short term debt $ 5,000 $ 5,000