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Facility Exit and Impairment Charges (Tables)
9 Months Ended
Nov. 27, 2021
Facility Exit and Impairment Charges  
Schedule of amounts relating to facility exit and impairment charges

Thirteen Week Period

 

Thirty-Nine Week Period

Ended

 

Ended

 

November 27,

 

 

November 28,

November 27,

 

November 28,

 

2021

 

2020

    

2021

    

2020

Impairment charges

 

$

40,323

 

$

3,797

$

51,372

 

$

15,230

Facility exit charges

 

7,132

 

3,656

 

16,267

 

7,504

 

$

47,455

 

$

7,453

$

67,639

 

$

22,734

Schedule of fair value of long-lived assets measured on recurring and non-recurring basis

Fair Values

Total

as of

Charges

    

Level 1

    

Level 2

    

Level 3

    

Impairment Date

    

November 27, 2021

Long-lived assets held for use

$

$

$

22,898

$

22,898

$

(51,372)

Long-lived assets held for sale

$

$

$

$

$

Total

$

$

$

22,898

$

22,898

$

(51,372)

Fair Values

Total

as of

Charges

    

Level 1

    

Level 2

    

Level 3

    

Impairment Date

    

November 28, 2020

Long-lived assets held for use

$

$

$

1,071

$

1,071

$

(12,635)

Long-lived assets held for sale

$

$

4,184

$

$

4,184

$

(2,595)

Total

$

$

4,184

$

1,071

$

5,255

$

(15,230)

Schedule of closed store and distribution center charges related to new closures, changes in assumptions and interest accretion

Thirteen Week Period

Thirty-Nine Week Period

Ended

Ended

November 27,

November 28,

November 27,

November 28,

    

2021

    

2020

    

2021

    

2020

    

Balance—beginning of period

$

5,611

$

2,605

$

3,443

$

2,253

Provision for present value of executory costs for leases exited

 

3,620

 

664

 

5,328

 

664

Changes in assumptions and other adjustments

1,387

(496)

2,880

Interest accretion

 

4

 

21

 

20

 

21

Cash payments

 

(3,941)

 

(15)

 

(4,990)

 

(159)

Balance—end of period

$

6,681

$

2,779

$

6,681

$

2,779