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Supplementary Cash Flow Data
3 Months Ended
May 28, 2022
Supplementary Cash Flow Data  
Supplementary Cash Flow Data

16. Supplementary Cash Flow Data

Thirteen Week Period Ended

    

May 28, 2022

    

May 29, 2021

Cash paid for interest

$

11,230

$

12,813

Cash payments for income taxes, net

$

13,290

$

556

Equipment financed under capital leases

$

$

1,585

Gross borrowings from revolver

$

860,000

$

1,546,000

Gross repayments to revolver

$

569,000

$

1,507,000

Significant components of cash provided by Other Liabilities of $15,327 for the thirteen week period ended May 28, 2022 include cash provided from an increase in accruals relating to store closures and litigation matters.