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Supplementary Cash Flow Data (Tables)
3 Months Ended
May 30, 2020
Supplementary Cash Flow Data  
Schedule of supplementary cash flow data

Thirteen Week Period Ended

    

May 30, 2020

    

June 1, 2019

Cash paid for interest(a)

$

12,843

$

19,462

Cash payments for income taxes, net(a)

$

2,100

$

830

Equipment financed under capital leases

$

335

$

1,253

Gross borrowings from revolver(a)

$

2,139,000

$

499,000

Gross repayments to revolver(a)

$

1,897,000

$

374,000

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