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Indebtedness and Credit Agreements (Tables)
6 Months Ended
Aug. 27, 2011
Indebtedness and Credit Agreements  
Summary of indebtedness and lease financing obligations

 

 
  August 27,
2011
  February 26,
2011
 

Secured Debt:

             
 

Senior secured revolving credit facility due August 2015 (or April 2014, see Credit Facility below)

  $ 73,000   $ 28,000  
 

Senior secured credit facility term loan due June 2014

    1,044,433     1,074,613  
 

Senior secured credit facility term loan due June 2014 ($342,125 face value less unamortized discount of $19,718)

        322,407  
 

Senior secured credit facility term loan due March 2018 (or December 2014 or September 2015, see Credit Facility below) ($333,367 face value less unamortized discount of $1,611)

    331,756      
 

9.75% senior secured notes (senior lien) due June 2016 ($410,000 face value less unamortized discount of $5,107 and $5,635)

    404,893     404,365  
 

8.00% senior secured notes (senior lien) due August 2020

    650,000     650,000  
 

10.375% senior secured notes (second lien) due July 2016 ($470,000 face value less unamortized discount of $27,187 and $29,952)

    442,813     440,048  
 

7.5% senior secured notes (second lien) due March 2017

    500,000     500,000  
 

10.25% senior secured notes (second lien) due October 2019 ($270,000 face value less unamortized discount of $1,671 and $1,774)

    268,329     268,226  
 

Other secured

    5,357     5,408  
           

 

    3,720,581     3,693,067  

Guaranteed Unsecured Debt:

             
 

8.625% senior notes due March 2015

    459,000     500,000  
 

9.375% senior notes due December 2015 ($405,000 and $410,000 face value less unamortized discount of $2,993 and $3,345)

    402,007     406,655  
 

9.5% senior notes due June 2017 ($810,000 face value less unamortized discount of $7,480 and $8,130)

    802,520     801,870  
           

 

    1,663,527     1,708,525  

Unsecured Unguaranteed Debt:

             
 

9.25% senior notes due June 2013

    6,015     6,015  
 

6.875% senior debentures due August 2013

    180,277     184,773  
 

8.5% convertible notes due May 2015

    64,188     64,188  
 

7.7% notes due February 2027

    295,000     295,000  
 

6.875% fixed-rate senior notes due December 2028

    128,000     128,000  
           

 

    673,480     677,976  

Lease financing obligations

    134,241     140,297  
           

Total debt

    6,191,829     6,219,865  

Current maturities of long-term debt and lease financing obligations

    (22,987 )   (63,045 )
           

Long-term debt and lease financing obligations, less current maturities

  $ 6,168,842   $ 6,156,820