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Fair Value Measurements - Schedule of Fair Value Measurements of Other Assets and Liabilities (Details) - USD ($)
$ in Thousands
May 27, 2022
Aug. 27, 2021
Liabilities:    
Acquisition-related contingent consideration $ 101,824 $ 60,500
Fair Value | Level 2    
Assets:    
Derivative financial instrument assets 102 883
Liabilities:    
Derivative financial instrument liabilities 22 50
Fair Value | Level 2 | Credit Facility Term Loan    
Liabilities:    
Debt instrument, fair value 275,000 0
Fair Value | Level 2 | Convertible Senior Notes    
Liabilities:    
Debt instrument, fair value 333,125 335,668
Fair Value | Level 2 | LED Purchase Price Note    
Liabilities:    
Debt instrument, fair value 0 125,000
Fair Value | Level 2 | ABL Credit Agreement    
Liabilities:    
Debt instrument, fair value 0 25,000
Fair Value | Level 2 | Other    
Liabilities:    
Debt instrument, fair value 11,353 10,702
Fair Value | Level 3    
Liabilities:    
Acquisition-related contingent consideration 101,824 60,500
Carrying Value | Level 2    
Assets:    
Derivative financial instrument assets 102 883
Liabilities:    
Derivative financial instrument liabilities 22 50
Carrying Value | Level 2 | Credit Facility Term Loan    
Liabilities:    
Debt instrument, fair value 270,793 0
Carrying Value | Level 2 | Convertible Senior Notes    
Liabilities:    
Debt instrument, fair value 210,694 203,992
Carrying Value | Level 2 | LED Purchase Price Note    
Liabilities:    
Debt instrument, fair value 0 125,000
Carrying Value | Level 2 | ABL Credit Agreement    
Liabilities:    
Debt instrument, fair value 0 25,000
Carrying Value | Level 2 | Other    
Liabilities:    
Debt instrument, fair value 12,334 11,846
Carrying Value | Level 3    
Liabilities:    
Acquisition-related contingent consideration $ 101,824 $ 60,500