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STOCKHOLDERS’ EQUITY (Tables)
12 Months Ended
Aug. 31, 2025
Equity [Abstract]  
Schedule of Share Repurchases
The following table presents the shares of common stock repurchased under our share repurchase program and acquired from holders of our stock-based awards upon vesting to satisfy tax withholding requirements:
Share Repurchases
(in thousands, except share data)Years Ended August 31,
202520242023
Repurchases of common stock under the share repurchase program
684,960 537,800 430,350 
Total cost of common stock repurchased under the share repurchase program(1)
$300,457 $235,235 $176,720 
Repurchases of common stock to satisfy tax withholding requirements due upon vesting of stock-based awards35,791 37,589 32,444 
Total cost of repurchases of common stock to satisfy withholding requirements due upon vesting of stock-based awards$16,242 $16,659 $13,710 
(1) For fiscal 2025, 2024, and 2023, amount excludes a 1% excise tax of $3.0 million, $1.7 million and $0.9 million, respectively, on corporate stock repurchases required under the Inflation Reduction Act of 2022.
Schedule of Dividends Declared
Our Board of Directors approved the following dividends:
Year EndedDividends per
Share of
Common Stock
Record Date
Total Amount
(in thousands)
Payment Date
Fiscal 2025
First Quarter$1.04 November 29, 2024$39,572 December 19, 2024
Second Quarter$1.04 February 28, 202539,511 March 20, 2025
Third Quarter$1.10 May 30, 202541,644 June 18, 2025
Fourth Quarter$1.10 August 29, 202541,410 September 18, 2025
Total Dividends$162,137 
Fiscal 2024
First Quarter$0.98 November 30, 2023$37,299 December 21, 2023
Second Quarter$0.98 February 29, 202437,360 March 21, 2024
Third Quarter$1.04 May 31, 202439,589 June 20, 2024
Fourth Quarter$1.04 August 30, 202439,470 September 19, 2024
Total Dividends$153,718 
Fiscal 2023
First Quarter$0.89 November 30, 2022$34,010 December 15, 2022
Second Quarter$0.89 February 28, 202334,099 March 16, 2023
Third Quarter$0.98 May 31, 202337,442 June 15, 2023
Fourth Quarter$0.98 August 31, 202337,265 September 21, 2023
Total Dividends$142,816 
Schedule of Components of AOCL
The components of AOCL as of August 31, 2025 and August 31, 2024 were as follows:
(in thousands)August 31, 2025August 31, 2024
Accumulated unrealized gains (losses) on cash flow hedges, net of tax$2,143 $1,843 
Accumulated foreign currency translation adjustments(65,891)(81,456)
Total AOCL$(63,748)$(79,613)