XML 38 R25.htm IDEA: XBRL DOCUMENT v3.25.2 Long-term Debt and Borrowing Facilities (Tables) 6 Months Ended Aug. 02, 2025 Long-Term Debt, by Current and Noncurrent [Abstract]   Schedule of Long-term Debt Instruments The following table provides the Company’s outstanding Long-term Debt balances, net of unamortized debt issuance costs and discounts, as of August 2, 2025, February 1, 2025 and August 3, 2024: August 2, 2025 February 1, 2025 August 3, 2024 (in millions) Senior Debt with Subsidiary Guarantee $500 million, 9.375% Fixed Interest Rate Notes due July 2025 (“2025 Notes”) $ —  $ —  $ 313  $284 million, 6.694% Fixed Interest Rate Notes due January 2027 (“2027 Notes”) 278  277  275  $444 million, 5.250% Fixed Interest Rate Notes due February 2028 (“2028 Notes”) 443  443  443  $482 million, 7.500% Fixed Interest Rate Notes due June 2029 (“2029 Notes”) 477  476  475  $844 million, 6.625% Fixed Interest Rate Notes due October 2030 (“2030 Notes”) 839  838  838  $802 million, 6.875% Fixed Interest Rate Notes due November 2035 (“2035 Notes”) 797  796  796  $575 million, 6.750% Fixed Interest Rate Notes due July 2036 (“2036 Notes”) 571  571  571  Total Senior Debt with Subsidiary Guarantee 3,405  3,401  3,711  Senior Debt $284 million, 6.950% Fixed Interest Rate Debentures due March 2033 (“2033 Notes”) 283  283  283  $201 million, 7.600% Fixed Interest Rate Notes due July 2037 (“2037 Notes”) 200  200  200  Total Senior Debt 483  483  483  Total Debt 3,888  3,884  4,194  Current Debt —  —  (313) Total Long-term Debt, Net of Current Portion $ 3,888  $ 3,884  $ 3,881  Cash paid for interest was $143 million and $152 million for year-to-date 2025 and 2024, respectively. Schedule of Long-Term Debt Repurchases The following table provides details of the outstanding principal amounts of senior notes repurchased and extinguished during the second quarter, year-to-date and full year of 2024: Second Quarter Year-to-Date Full Year (in millions) 2025 Notes $ —  $ —  $ 314  2027 Notes 14  14  14  2028 Notes 7  17  17  2029 Notes 10  17  17  2030 Notes 56  94  94  2033 Notes —  10  10  2035 Notes 4  10  10  2036 Notes —  38  38  Total $ 91  $ 200  $ 514  X - Definition Schedule of Long-Term Debt Repurchases + References No definition available. + Details Name: bbwi_ScheduleOfLongTermDebtRepurchasesTableTextBlock Namespace Prefix: bbwi_ Data Type: dtr-types:textBlockItemType Balance Type: na Period Type: duration X - References No definition available. + Details Name: us-gaap_LongTermDebtByCurrentAndNoncurrentAbstract Namespace Prefix: us-gaap_ Data Type: xbrli:stringItemType Balance Type: na Period Type: duration X - Definition Tabular disclosure of long-debt instruments or arrangements, including identification, terms, features, collateral requirements and other information necessary to a fair presentation. 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