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Indebtedness and Credit Agreement - Credit Facility (Details) - USD ($)
$ in Thousands
6 Months Ended
Aug. 20, 2021
Aug. 27, 2022
Feb. 26, 2022
May 28, 2021
Dec. 20, 2018
Rite Aid Lease Management Company          
Credit facility          
Ownership interest (as a percent)   100.00%      
Senior secured revolving credit facility due December 2023          
Credit facility          
Maximum borrowing capacity $ 2,700,000       $ 2,700,000
FILO term loan due December 2023          
Credit facility          
Maximum borrowing capacity 450,000        
Principal amount of debt         450,000
FILO term loan due August 2026 [Member]          
Credit facility          
Maximum borrowing capacity $ 350,000        
Principal amount of debt   $ 350,000 $ 350,000    
FILO term loan due August 2026 [Member] | LIBOR          
Credit facility          
Percentage points added to the reference rate 2.75%        
FILO term loan due August 2026 [Member] | Citibank's base rate          
Credit facility          
Percentage points added to the reference rate 1.75%        
Senior secured revolving credit facility due August 2026          
Credit facility          
Maximum borrowing capacity $ 2,800,000        
Principal amount of debt   1,386,000 $ 709,000    
Period triggering springing maturity 91 days        
Outstanding borrowings   1,736,000      
Letters of credit outstanding   130,596      
Additional borrowing capacity   1,283,404      
Maximum amount of accumulated cash on hand   200,000      
Amount of debt allowed to be outstanding   1,500,000      
Cash sweep, 3-day minimum threshold   275,000      
Cash sweep, 1-day minimum threshold   200,000      
Threshold amount of debt   $ 750,000      
Number of days relating to debt threshold   90 days      
Minimum principal balance for which non-payment causes default   $ 50,000      
Senior secured revolving credit facility due August 2026 | Minimum          
Credit facility          
Credit facility commitment fee (as a percent) 0.25%        
Additional borrowing capacity   $ 365,000      
Fixed charge coverage ratio   1.00      
Threshold availability on thirtieth consecutive day   $ 250,000      
Senior secured revolving credit facility due August 2026 | Maximum          
Credit facility          
Credit facility commitment fee (as a percent) 0.375%        
Fixed charge coverage ratio   1.00      
Threshold availability on revolving credit facility to trigger fixed charge coverage requirements   $ 200,000      
Threshold availability on the third consecutive business day   $ 250,000      
Senior secured revolving credit facility due August 2026 | LIBOR | Minimum          
Credit facility          
Percentage points added to the reference rate 1.25%        
Senior secured revolving credit facility due August 2026 | LIBOR | Maximum          
Credit facility          
Percentage points added to the reference rate 1.75%        
Senior secured revolving credit facility due August 2026 | Citibank's base rate | Minimum          
Credit facility          
Percentage points added to the reference rate 0.25%        
Senior secured revolving credit facility due August 2026 | Citibank's base rate | Maximum          
Credit facility          
Percentage points added to the reference rate 0.75%        
Senior secured revolving credit facility due January 2020          
Credit facility          
Maximum borrowing capacity         $ 2,700,000
6.125% senior notes due April 2023          
Credit facility          
Debt instrument, stated interest rate (as a percent)       6.125%