XML 25 R9.htm IDEA: XBRL DOCUMENT v3.25.1
Consolidated Statements of Shareholders' Equity - USD ($)
$ in Thousands
Total
Common Stock at Par Value
Additional Paid-In Capital
Retained Earnings
Accumulated Other Comprehensive (Loss) Income
Beginning balance (in shares) at Feb. 26, 2022   23,701,000      
Beginning balance at Feb. 26, 2022 $ 386,199 $ 7,901 $ 149,713 $ 254,825 $ (26,240)
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net earnings 104,107     104,107  
Other comprehensive income, net of tax (5,316)       (5,316)
Issuance of stock, net of cancellations (in shares)   113,000      
Issuance of stock, net of cancellations 225 $ 37 153 35  
Share-based compensation 8,656   8,656    
Exercise of stock options (in shares)   36,000      
Exercise of stock options (942) $ 12 (954)    
Share repurchases (in shares)   (1,571,000)      
Share repurchases (74,312) $ (524) (10,350) (63,438)  
Other share retirements (in shares)   (55,000)      
Other share retirements (2,539) $ (18) (402) (2,119)  
Cash dividends (19,670)     (19,670)  
Ending balance (in shares) at Feb. 25, 2023   22,224,000      
Ending balance at Feb. 25, 2023 396,408 $ 7,408 146,816 273,740 (31,556)
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net earnings 99,613     99,613  
Other comprehensive income, net of tax 2,025       2,025
Issuance of stock, net of cancellations (in shares)   171,000      
Issuance of stock, net of cancellations (132) $ 58 (150) (40)  
Share-based compensation 9,721   9,721    
Exercise of stock options (in shares)   25,000      
Exercise of stock options (832) $ 8 (840)    
Share repurchases (in shares)   (280,000)      
Share repurchases (11,821) $ (93) (1,989) (9,739)  
Other share retirements (in shares)   (51,000)      
Other share retirements (2,824) $ (18) (740) (2,066)  
Cash dividends $ (21,133)     (21,133)  
Ending balance (in shares) at Mar. 02, 2024 22,089,265 22,089,000      
Ending balance at Mar. 02, 2024 $ 471,025 $ 7,363 152,818 340,375 (29,531)
Increase (Decrease) in Stockholders' Equity [Roll Forward]          
Net earnings 85,052     85,052  
Other comprehensive income, net of tax (5,761)       (5,761)
Issuance of stock, net of cancellations (in shares)   214,000      
Issuance of stock, net of cancellations   $ 71 (312) 241  
Share-based compensation 10,725   10,725    
Share repurchases (in shares)   (787,000)      
Share repurchases (45,364) $ (263) (6,415) (38,686)  
Other share retirements (in shares)   (98,000)      
Other share retirements (6,042) $ (32) (741) (5,269)  
Cash dividends $ (21,737)     (21,737)  
Ending balance (in shares) at Mar. 01, 2025 21,417,631 21,418,000      
Ending balance at Mar. 01, 2025 $ 487,898 $ 7,139 $ 156,075 $ 359,976 $ (35,292)