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Supplementary Cash Flow Data
12 Months Ended
Feb. 28, 2015
Supplementary Cash Flow Data  
Supplementary Cash Flow Data

 

20. Supplementary Cash Flow Data

                                                                                                                                                                                    

 

 

Year Ended

 

 

 

February 28,
2015

 

March 1,
2014

 

March 2,
2013

 

Cash paid for interest (net of capitalized amounts of $145, $197 and $399)

 

$

384,329

 

$

414,692

 

$

482,145

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Cash payments (refund) for income taxes, net

 

$

6,665

 

$

3,191

 

$

(776

)

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Equipment financed under capital leases

 

$

6,157

 

$

18,065

 

$

7,906

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Equipment received for noncash consideration

 

$

1,600

 

$

2,825

 

$

3,285

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Preferred stock dividends paid in additional shares

 

$

 

$

8,318

 

$

10,528

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Accrued capital expenditures

 

$

87,916

 

$

72,841

 

$

45,456

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

Gross borrowings from revolver

 

$

6,078,000

 

$

2,668,000

 

$

1,117,000

 

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

​  

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Gross repayments to revolver

 

$

4,753,000

 

$

2,933,000

 

$

588,000

 

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​  

​  

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​