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Supplementary Cash Flow Data
12 Months Ended
Mar. 04, 2023
Supplementary Cash Flow Data  
Supplementary Cash Flow Data

23. Supplementary Cash Flow Data

March 4,

February 26,

February 27,

2023

    

2022

    

2021

Cash paid for interest (a)

$

212,355

$

180,583

$

181,634

Cash (refunds) payments for income taxes, net(a)

$

(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(a)

$

3,510,000

$

5,131,000

$

7,912,000

Gross repayments to revolver(a)

$

3,019,000

$

5,272,000

$

7,712,000

(a)–Amounts are presented on a total company basis.

Significant components of cash used in Other Liabilities of $111,021 for the fifty-three week period ended March 4, 2023 includes cash used from changes in accrued wages, benefits and other personnel costs of $100,340 and provided from changes in accrued store expenses of $11,426.