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Supplementary Cash Flow Data (Tables)
12 Months Ended
Mar. 02, 2013
Supplementary Cash Flow Data  
Schedule of supplementary cash flow data

 

 

 
  Year Ended  
 
  March 2,
2013
  March 3,
2012
  February 26,
2011
 

Cash paid for interest (net of capitalized amounts of $399, $315 and $509)

  $ 482,145   $ 528,894   $ 464,456  
               

Cash (refund) payments for income taxes, net

  $ (776 ) $ 4,913   $ 4,907  
               

Equipment financed under capital leases

  $ 7,906   $ 7,052   $ 4,622  
               

Equipment received for noncash consideration

  $ 3,285   $ 3,616   $ 3,476  
               

Preferred stock dividends paid in additional shares

  $ 10,528   $ 9,919   $ 9,346  
               

Non-cash reduction in lease financing obligation

  $   $   $  
               

Accrued capital expenditures

  $ 45,456   $ 45,454   $ 37,557  
               

Gross borrowings from revolver

  $ 1,117,000   $ 2,654,000   $ 1,511,000  
               

Gross repayments to revolver

  $ 588,000   $ 2,546,000   $ 1,563,000