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Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands
9 Months Ended
May 31, 2011
May 31, 2010
Cash flows from (used by) operating activities:    
Net loss $ (9,183) $ (213,067)
Adjustments to reconcile net loss to cash from (used by) operating activities:    
Depreciation and amortization 120,810 128,393
Recoveries on receivables, net (2,922) (1,831)
Share-based compensation 9,240 5,590
Deferred income taxes 1,357 (72,304)
Tax benefits from stock plans (2,367) (3,204)
Gain on sale of assets and other (1,569) (529)
Write-down of inventory 7,593 44,680
Asset impairment   32,613
Changes in operating assets and liabilities, net of acquisitions:    
Increase in accounts receivable (141,636) (107,275)
Accounts receivable sold, net 49,890 29,322
Increase in inventories (202,995) (41,880)
Decrease in other assets 60,100 13,851
Increase in accounts payable, accrued expenses, other payables and income taxes 59,172 209,441
Increase (decrease) in other long-term liabilities 8,444 (6,305)
Net cash flows from (used by) operating activities (44,066) 17,495
Cash flows from (used by) investing activities:    
Capital expenditures (51,539) (109,464)
Proceeds from the sale of property, plant and equipment and other 52,253 5,287
Proceeds from the sale of equity method investments 4,224  
Acquisitions, net of cash acquired   (2,448)
Increase in deposit for letters of credit (3,258) (27,238)
Net cash flows from (used by) investing activities 1,680 (133,863)
Cash flows from (used by) financing activities:    
Decrease in documentary letters of credit (54,741) (32,884)
Short-term borrowings, net change (8,253) 61,317
Repayments on long-term debt (23,473) (19,914)
Proceeds from issuance of long-term debt 1,463 22,437
Stock issued under incentive and purchase plans 10,062 10,355
Cash dividends (41,313) (40,773)
Purchase of noncontrolling interests (3,980)  
Tax benefits from stock plans 2,367 3,204
Net cash flows from (used by) financing activities (117,868) 3,742
Effect of exchange rate changes on cash 4,503 (3,347)
Decrease in cash and cash equivalents (155,751) (115,973)
Cash and cash equivalents at beginning of year 399,313 405,603
Cash and cash equivalents at end of period $ 243,562 $ 289,630