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Restructuring (Tables)
12 Months Ended
Feb. 28, 2026
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring
(In thousands)Architectural MetalsArchitectural ServicesArchitectural GlassCorporate & OtherTotal
February 28, 2026
Termination benefits $3,617 $5,779 $— $1,365 $10,761 
Contract termination costs2,042 3,782 — — 5,824 
Other restructuring charges913 5,825 — 4,120 10,858 
Total restructuring charges$6,572 $15,386 $— $5,485 $27,443 
March 1, 2025
Termination benefits928 (640)— 788 1,076 
Contract termination costs— — — — — 
Other restructuring charges3,096 151 — — 3,247 
Total restructuring charges$4,024 $(489)$— $788 $4,323 
March 2, 2024
Termination benefits3,348 2,475 — 56 5,879 
Contract termination costs$1,568 $49 $— $— $1,617 
Other restructuring charges$1,054 $$— $3,851 $4,907 
Total restructuring charges$5,970 $2,526 $— $3,907 $12,403 
Schedule of Restructuring Reserve
The following table summarizes our restructuring related accrual balances included within accrued payroll and related benefits and other current liabilities on the Consolidated Balance Sheets. All remaining accrual balances are expected to be paid within fiscal 2027.
(In thousands)Architectural Metals Architectural ServicesArchitectural GlassCorporate and OtherTotal
Balance at March 2, 2024$2,814 $2,067 $— $56 $4,937 
Restructuring expense1,931 (812)— 778 1,897 
Payments(4,256)(605)— (323)(5,184)
Other adjustments797 — — — 797 
Balance at March 1, 2025$1,286 $650 $— $511 $2,447 
Restructuring expense4,920 5,111 — 1,369 11,400 
Payments(2,686)(3,450)— (798)(6,934)
Other adjustments61 — — — 61 
Balance at February 28, 2026$3,581 $2,311 $— $1,082 $6,974