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Debt - Additional Information (Detail)
€ in Millions, ¥ in Millions, SFr in Millions, $ in Millions
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Mar. 25, 2025
CAD ($)
Nov. 30, 2023
USD ($)
Feb. 28, 2026
USD ($)
Installments
Loan
CreditArrangements
Feb. 28, 2026
EUR (€)
Loan
Feb. 28, 2025
USD ($)
Feb. 28, 2025
CAD ($)
Nov. 30, 2025
USD ($)
Feb. 28, 2026
USD ($)
Installments
CreditArrangements
Feb. 28, 2026
CAD ($)
May 31, 2025
USD ($)
Feb. 28, 2026
EUR (€)
Installments
CreditArrangements
Feb. 28, 2026
CNY (¥)
Installments
CreditArrangements
Feb. 28, 2026
INR (₨)
Installments
CreditArrangements
Jun. 03, 2025
CHF (SFr)
May 31, 2025
CNY (¥)
May 31, 2025
INR (₨)
May 12, 2025
CAD ($)
Apr. 30, 2025
CHF (SFr)
Dec. 17, 2024
CAD ($)
Debt And Receivables Securitization [Line Items]                                      
Term loan facility, balance     $ 219,800,000         $ 219,800,000   $ 149,200,000                  
Short-term loan facilities     192,700,000         192,700,000   149,200,000                  
Long-term debt     31,600,000         31,600,000   2,300,000                  
Tempel Canada                                      
Debt And Receivables Securitization [Line Items]                                      
Debt to tangible equitry ratio 1                                    
Fixed charge coverage ratio 1.15                                    
Canadian Government Regional Economic Growth Loan                                      
Debt And Receivables Securitization [Line Items]                                      
Principal amount     $ 2,600,000         $ 2,600,000                     $ 3.5
Debt, interest rate                                     0.00%
Equal installments | Installments     60         60     60 60 60            
Installments beginning Date               Apr. 01, 2027 Apr. 01, 2027                    
Final payment due date               Mar. 01, 2032 Mar. 01, 2032                    
Total Debt issuance costs     $ 0         $ 0                      
Long-term debt     2,300,000         $ 2,300,000   2,300,000                  
Canadian Government Regional Economic Growth Loan | Tempel Canada                                      
Debt And Receivables Securitization [Line Items]                                      
Distribution amount         $ 2,200,000 $ 3.2                          
Percentage of distribution amount         90.00% 90.00%                          
Percentage of remaining distribution amount               10.00% 10.00%                    
Business Development Bank of Canada Canadian Loan | Tempel Canada                                      
Debt And Receivables Securitization [Line Items]                                      
Principal amount $ 57.5   42,200,000         $ 42,200,000                      
Debt, interest rate 1.75%                                    
Debt, maturity date Jun. 01, 2051                                    
Letter of credit amount outstanding $ 40.0   29,300,000         29,300,000                      
Long-term debt     21,800,000         21,800,000                      
Interest rate terms The BDC Loan will accrue interest (a) during the construction period, at a per annum rate equal to BDC’s Floating Base Rate minus 1.75%, and (b) at all times thereafter, at a per annum rate equal to BDC’s Floating Base Rate minus 1.75% or BDC’s Base Rate minus 1.75%, at Tempel Canada’s election.                                    
AMIC Loan | Tempel Canada                                      
Debt And Receivables Securitization [Line Items]                                      
Principal amount     $ 3,700,000         3,700,000                 $ 5.0    
Distribution amount               $ 1,800,000 $ 2.5                    
Equal installments | Installments     4         4     4 4 4            
Installments beginning Date               Jun. 30, 2029 Jun. 30, 2029                    
Final payment due date               Jun. 30, 2032 Jun. 30, 2032                    
Total Debt issuance costs     $ 0         $ 0                      
Long-term debt     $ 1,800,000         $ 1,800,000                      
Long-term debt, bearing fixed tnterest rate     5.97%         5.97%     5.97% 5.97% 5.97%            
Debt instrument, incentive component forgiven amount               $ 400,000 $ 0.5                    
Bridge Nonrevolving Loan Commitment                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     $ 1,900,000,000         1,900,000,000                      
Fees and costs     16,300,000         16,300,000                      
Accured fees yet to be paid     14,000,000         $ 14,000,000                      
Bridge Nonrevolving Loan Commitment | Minimum | SOFR Rate Loans                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               2.00% 2.00%                    
Bridge Nonrevolving Loan Commitment | Minimum | Base Rate                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               3.00% 3.00%                    
Bridge Nonrevolving Loan Commitment | Maximum | SOFR Rate Loans                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               2.75% 2.75%                    
Bridge Nonrevolving Loan Commitment | Maximum | Base Rate                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               3.75% 3.75%                    
Credit Facility Due In Fiscal 2026                                      
Debt And Receivables Securitization [Line Items]                                      
Short-term loan facilities     $ 192,700,000         $ 192,700,000                      
Tempel India                                      
Debt And Receivables Securitization [Line Items]                                      
Number of individual credit arrangements | CreditArrangements     2         2     2 2 2            
Tempel India | Facility One                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     $ 5,500,000         $ 5,500,000         ₨ 500,000,000            
Maturity date               Jan. 07, 2027 Jan. 07, 2027                    
Tempel India | Facility Two                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     7,100,000         $ 7,100,000         650,000,000            
Maturity date               Dec. 15, 2026 Dec. 15, 2026                    
Tempel India | Facility One and Two                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     12,600,000         $ 12,600,000   14,000,000     1,150,000,000     ₨ 1,150,000,000      
Tempel China                                      
Debt And Receivables Securitization [Line Items]                                      
Short-term loan facilities     0         0   0                  
Tempel China | Facility One                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     5,800,000         $ 5,800,000       ¥ 40.0              
Maturity date               Sep. 10, 2026 Sep. 10, 2026                    
Tempel China | Facility Two                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     7,300,000         $ 7,300,000       50.0              
Maturity date               Jul. 29, 2026 Jul. 29, 2026                    
Tempel China | Facility One and Two                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     13,100,000         $ 13,100,000   12,500,000   ¥ 90.0     ¥ 90.0        
Stanzwerk AG | Standstill Agreement - Sitem Group                                      
Debt And Receivables Securitization [Line Items]                                      
Principal amount     22,100,000         $ 22,100,000                   SFr 17.1  
Debt instrument commission on overdraft balances               0.25% 0.25%                    
Debt covenant minimum equity ratio               15.00% 15.00%                    
Debt covenant minimum liquidity amount     $ 5,200,000         $ 5,200,000           SFr 4.0          
Stanzwerk AG | Standstill Agreement - Sitem Group | SARON-Based, Zero Floor                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               5.00% 5.00%                    
Sitem Slovakia | 1-Month EURIBOR Plus                                      
Debt And Receivables Securitization [Line Items]                                      
Debt instrument, basis spread on variable interest rate               1.75% 1.75%                    
Sitem Group [Member]                                      
Debt And Receivables Securitization [Line Items]                                      
Number of loan agreements repaid | Loan     4 4                              
Repayment of loan     $ 14,300,000 € 12.4                              
Line of Credit | Tempel India                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     6,000,000         $ 6,000,000   7,000,000     ₨ 550,000,000     ₨ 550,000,000      
Aggregate capacity     0         0   0                  
Line of Credit | Sitem Slovakia                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     400,000         400,000     € 0.3                
Letter of credit amount outstanding     0         0                      
Stand-by Letters of Credit                                      
Debt And Receivables Securitization [Line Items]                                      
Outstanding borrowings drawn against credit facility               0                      
Letter of credit amount outstanding     $ 2,400,000         $ 2,400,000                      
Senior Secured Revolving Credit Facility                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity   $ 550,000,000                                  
Outstanding borrowings drawn against credit facility             $ 192,700,000     $ 149,200,000                  
Maturity date   Nov. 30, 2028                                  
Total Debt issuance costs   $ 2,700,000                                  
Capitalized debt issuance costs   $ 2,500,000                                  
Weighted average interest rate on Credit Facility     5.40%         5.40%   5.98% 5.40% 5.40% 5.40%   5.98% 5.98%      
Available borrowing capacity     $ 150,500,000         $ 150,500,000   $ 260,900,000                  
Senior Secured Revolving Credit Facility | SOFR Rate Loans                                      
Debt And Receivables Securitization [Line Items]                                      
Debt maturity period               6 months 6 months                    
Senior Secured Revolving Credit Facility | Swing Loan                                      
Debt And Receivables Securitization [Line Items]                                      
Maximum borrowing capacity     $ 55,000,000         $ 55,000,000                      
Swing loan rate     7.25%         7.25%   8.00% 7.25% 7.25% 7.25%   8.00% 8.00%      
Percentage of maximum amount of credit facility     10.00%         10.00%     10.00% 10.00% 10.00%