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Debt (Tables)
3 Months Ended
Nov. 28, 2020
Debt [Abstract]  
Schedule Of Debt

November 28,

August 29,

2020

2020

Revolving Credit Facility

$

120,000

$

250,000

Uncommitted credit facilities

1,200

1,200

Private Placement Debt:

2.65% Senior notes, series A, due July 28, 2023

75,000

75,000

2.90% Senior notes, series B, due July 28, 2026

100,000

100,000

3.79% Senior notes, due June 11, 2025

20,000

20,000

2.60% Senior notes, due March 5, 2027

50,000

50,000

3.04% Senior notes, due January 12, 2023(1)

50,000

50,000

3.42% Series 2018B notes, due June 11, 2021(1)

20,000

20,000

2.40% Series 2019A notes, due March 5, 2024(1)

50,000

50,000

Financing arrangements

1,267

194

Obligations under finance leases

3,395

3,715

Less: unamortized debt issuance costs

(732)

(843)

Total debt, including obligations under finance leases

$

490,130

$

619,266

Less: current portion, including obligations under finance leases

(23,225)

(2)

(122,248)

(3)

Total long-term debt, including obligations under finance leases

$

466,905

$

497,018

__________________________

(1)Represents private placement debt issued under Shelf Facility Agreements, discussed in further detail below.

(2)November 28, 2020 balance consists of $1,200 from the uncommitted credit facilities, $20,000 from the 2018B notes due June 11, 2021, $1,162 from financing arrangements, $1,271 from obligations under finance leases, and net of unamortized debt issuance costs expected to be amortized in the next 12 months.

(3)August 29, 2020 balance consists of $100,000 from the revolving credit facility, $1,200 from the uncommitted credit facilities, $20,000 from the 2018B notes due June 11, 2021, $194 from financing arrangements, $1,262 from obligations under finance leases, and net of unamortized debt issuance costs expected to be amortized in the next 12 months.