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Benefit Plans (Tables)
12 Months Ended
Feb. 28, 2022
Defined Benefit Plans and Other Postretirement Benefit Plans Disclosures [Abstract]  
Benefit Plan Information
Benefit Plan Information
 As of February 28 or 29
 Pension PlanRestoration PlanTotal
(In thousands)202220212022202120222021
Plan assets$214,928 $209,773 $ $— $214,928 $209,773 
Projected benefit obligation273,257 295,930 11,034 12,062 284,291 307,992 
Funded status recognized$(58,329)$(86,157)$(11,034)$(12,062)$(69,363)$(98,219)
Amounts recognized in the consolidated balance sheets:     
Current liability$ $— $(630)$(639)$(630)$(639)
Noncurrent liability(58,329)(86,157)(10,404)(11,423)(68,733)(97,580)
Net amount recognized$(58,329)$(86,157)$(11,034)$(12,062)$(69,363)$(98,219)
Components Of Net Pension Expense
 
Pension PlanRestoration PlanTotal
(In thousands)202220212020202220212020202220212020
Total net pension (benefit) expense
(2,493)(1,378)(1,595)425 433 488 (2,068)(945)(1,107)
Total net actuarial (gain) loss (1)
(21,941)(33,703)67,385 (576)(210)1,476 (22,517)(33,913)68,861 
 
(1)     Changes recognized in Accumulated Other Comprehensive Loss
Schedule Of Assumptions Used
Assumptions Used to Determine Benefit Obligations
 As of February 28
 Pension PlanRestoration Plan
 2022202120222021
Discount rate3.45 %2.95 %3.45 %2.95 %
 

Assumptions Used to Determine Net Pension Expense
 As of February 28 or 29
 Pension PlanRestoration Plan
 202220212020202220212020
Discount rate2.95 %2.85 %4.20 %2.95 %2.85 %4.20 %
Expected rate of return on plan assets7.50 %7.75 %7.75 % %— %— %
Schedule Of Fair Value Of Plan Assets
Fair Value of Plan Assets
 As of February 28
(In thousands)20222021
Mutual funds (Level 1):  
Equity securities – international
$26,525 $25,741 
Collective funds (NAV):  
Short-term investments
2,016 1,633 
Equity securities
133,723 131,039 
Fixed income securities
52,664 51,360 
Total$214,928 $209,773