The following table details the Company's debt repayments during the 13 and 26 weeks ended August 1, 2026 and August 2, 2025: | | | | | | | | | | | | | 13 and 26 weeks ended | | August 1, 2026 | | August 2, 2025 | | (millions) | | Short-term debt | | | | 7.60% Debentures due 2025 | $ | — | | | $ | 6 | | | — | | | 6 | | | Long-term debt | | | | 6.79% Senior debentures due 2027 | — | | | 27 | | 6.70% Senior exchanged debentures due 2028 | — | | | 54 | | 8.75% Senior exchanged debentures due 2029 | — | | | 13 | | 5.875% Senior notes due 2029 | — | | | 326 | | 5.875% Senior notes due 2030 | — | | | 224 | | | — | | | 644 | | | | | | | Total debt | $ | — | | | $ | 650 | |
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