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Exit and disposal activities (Tables)
12 Months Ended
Aug. 31, 2023
Restructuring and Related Activities [Abstract]  
Restructuring costs and reserves
Costs related to exit and disposal activities under the Transformational Cost Management Program for fiscal 2023, 2022 and 2021, respectively, were as follows (in millions):
Fiscal 2023U.S. Retail PharmacyInternationalU.S. HealthcareCorporate and OtherWalgreens Boots Alliance, Inc.
Lease obligations and other real estate costs$492 $23 $— $$516 
Asset impairments183 149 109 — 441 
Employee severance and business transition costs111 20 13 150 
Information technology transformation and other exit costs30 21 — — 51 
Total pre-tax exit and disposal charges$816 $213 $115 $14 $1,158 


Fiscal 2022U.S. Retail PharmacyInternationalU.S. HealthcareCorporate and OtherWalgreens Boots Alliance, Inc.
Lease obligations and other real estate costs$247 $$— $— $249 
Asset impairments132 58 — — 190 
Employee severance and business transition costs156 29 — 25 210 
Information technology transformation and other exit costs12 29 — — 40 
Total pre-tax exit and disposal charges$546 $118 $ $25 $690 


Fiscal 2021U.S. Retail PharmacyInternationalU.S. HealthcareCorporate and OtherWalgreens Boots Alliance, Inc.
Lease obligations and other real estate costs$103 $$— $— $108 
Asset impairments15 — — 24 
Employee severance and business transition costs79 40 — 45 165 
Information technology transformation and other exit costs20 17 — — 38 
Total pre-tax exit and disposal charges$217 $72 $ $46 $335 
Schedule of restructuring reserve by type of cost
The changes in liabilities and assets related to the exit and disposal activities under Transformational Cost Management Program include the following (in millions):
Lease obligations and other real estate costsAsset impairmentsEmployee severance and business transition costsInformation technology transformation and other exit costsTotal
Balance at August 31, 2021$17 $— $77 $20 $114 
Costs249 190 210 40 690 
Payments(99)— (201)(23)(323)
Other(157)(190)(9)(11)(367)
Balance at August 31, 2022$10 $ $76 $27 $113 
Costs516 441 150 51 1,158 
Payments(105)— (160)(55)(320)
Other(411)(441)— (849)
Balance at August 31, 2023$10 $ $70 $22 $102