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Supplementary Cash Flow Data
6 Months Ended
Aug. 27, 2022
Supplementary Cash Flow Data  
Supplementary Cash Flow Data

17. Supplementary Cash Flow Data

Twenty-Six Week Period Ended

    

August 27, 2022

    

August 28, 2021

Cash paid for interest

$

94,557

$

92,701

Cash (refunds) payments for income taxes, net

$

(10,359)

$

2,206

Equipment financed under capital leases

$

1,235

$

1,698

Gross borrowings from revolver

$

1,838,000

$

3,633,000

Gross repayments to revolver

$

1,161,000

$

3,383,000

Significant components of cash used by Other Liabilities of $61,372 for the twenty-six week period ended August 27, 2022 include cash used from a decrease in payroll, benefits and bonus accruals.