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Restructuring and Related Activities (Tables)
12 Months Ended
Feb. 26, 2022
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
(In thousands)Architectural FramingArchitectural GlassCorporate & OtherTotal
February 26, 2022
Asset impairment on property, plant and equipment$54 $21,443 $— $21,497 
Termination benefits 1,435 3,718 1,039 6,192 
Other restructuring charges244 1,935 644 2,823 
Total restructuring charges$1,733 $27,096 $1,683 $30,512 
February 27, 2021
Asset impairment on leases and property, plant and equipment$3,566 $— $— $3,566 
Termination benefits1,491 325 229 2,045 
Other restructuring charges224 — — 224 
Total restructuring charges$5,281 $325 $229 $5,835 
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes our restructuring related accrual balances included within accrued payroll and related benefits and other current liabilities in the consolidated balance sheets. All balances are expected to be paid within fiscal 2023.

(In thousands)Architectural FramingArchitectural GlassCorporate & OtherTotal
Balance at February 29, 2020$— $— $— $— 
Restructuring expense4,020 325 229 4,574 
Payments(1,148)(95)(68)(1,311)
Balance at February 27, 2021$2,872 $230 $161 $3,263 
Restructuring expense2,000 1,036 1,039 4,075 
Payments(3,567)(529)(972)(5,068)
Other adjustments(865)— — (865)
Balance at February 26, 2022440 737 228 1,405