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Restructuring and Related Activities (Tables)
9 Months Ended
Nov. 27, 2021
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
Three Months Ended November 27, 2021
(In thousands)Architectural FramingArchitectural GlassCorporate and otherTotal
Asset impairment charges$(32)$1,353 $— $1,321 
Termination benefits(14)1,638 (179)1,445 
Other restructuring charges527 124 653 
Total restructuring charges$(44)$3,518 $(55)$3,419 

Nine Months Ended November 27, 2021
(In thousands)Architectural FramingArchitectural GlassCorporate and otherTotal
Asset impairment charges$54 $16,584 $— $16,638 
Termination benefits1,809 3,215 760 5,784 
Other restructuring charges141 1,110 560 1,811 
Total restructuring charges$2,004 $20,909 $1,320 $24,233 
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes our restructuring related accrual balances included within accrued payroll and related costs and other current liabilities in the consolidated balance sheets. All balances are expected to be paid within the current fiscal year.

(In thousands)Architectural FramingArchitectural GlassCorporate and otherTotal
Balance at March 1, 2020$— $— $— $— 
Restructuring expense4,020 325 229 4,574 
Payments(1,148)(95)(68)(1,311)
Balance at February 27, 20212,872 230 161 3,263 
Restructuring expense1,984 884 1,221 4,089 
Payments(2,852)(354)(592)(3,798)
Other adjustments(269)— — (269)
Balance at November 27, 2021$1,735 $760 $790 $3,285