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Supplementary Cash Flow Data (Details) - USD ($)
$ in Thousands
6 Months Ended
Aug. 31, 2019
Sep. 01, 2018
Supplementary Cash Flow Data    
Cash paid for interest $ 110,401 $ 165,995
Cash payments for income taxes, net 4,059 19,314
Change in operating lease right-of-use assets 82,125  
Change in operating lease liabilities (47,143)  
Equipment financed under capital leases 2,077 2,275
Gross borrowings from revolver 1,524,000 2,237,000
Gross repayments to revolver 1,149,000 902,000
Significant components of cash used by Other Liabilities    
Other liabilities 8,104 $ 245,587
Accruals related to compensation and benefit 44,506  
Increase in accruals for legal, professional, occupancy and wellness deferral accruals $ 30,099