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Supplementary Cash Flow Data (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 04, 2023
Feb. 26, 2022
Feb. 27, 2021
Supplementary Cash Flow Data      
Cash paid for interest $ 212,355 $ 180,583 $ 181,634
Cash (refunds) payments for income taxes, net (5,309) 6,233 7,535
Equipment financed under capital leases 3,334 1,698 1,849
Accrued capital expenditures 18,711 45,465 19,904
Gross borrowings from revolver 3,510,000 5,131,000 7,912,000
Gross repayments to revolver 3,019,000 5,272,000 7,712,000
Significant components of cash provided by (used in) Other Liabilities      
Other liabilities (111,021) $ 68,558 $ (50,947)
Accruals related to compensation and benefit 100,340    
Changes in accrued store expenses $ 11,426