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Supplementary Cash Flow Data
12 Months Ended
Feb. 29, 2020
Supplementary Cash Flow Data  
Supplementary Cash Flow Data

22. Supplementary Cash Flow Data

February 29,

March 2,

March 3,

2020

    

2019

    

2018

Cash paid for interest(a)

$

216,489

$

267,760

$

405,579

Cash (refunds) payments for income taxes, net(a)

$

(4,935)

$

17,383

$

87,087

Equipment financed under capital leases

$

3,715

$

4,165

$

13,123

Equipment received for noncash consideration

$

$

$

2,044

Reduction in lease financing obligation

$

$

$

4,740

Accrued capital expenditures

$

15,952

$

15,298

$

28,869

Gross borrowings from revolver(a)

$

2,897,000

$

4,257,000

$

4,221,000

Gross repayments to revolver(a)

$

3,122,000

$

3,382,000

$

6,651,000

(a)–Amounts are presented on a total company basis.

Significant components of cash used by Other Liabilities of $62,168 for the fifty-two week period ended February 29, 2020 includes cash used resulting from changes in accrued wages, benefits and other personnel costs of $47,252 and changes in accrued store expenses of $45,252.