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Supplementary Cash Flow Data (Details) - USD ($)
$ in Thousands
3 Months Ended
Jun. 03, 2023
May 28, 2022
Supplementary Cash Flow Data    
Cash paid for interest $ 34,452 $ 11,230
Cash payments (refunds) for income taxes, net 1,006 13,290
Equipment financed under capital leases 321  
Gross borrowings from revolver 829,000 860,000
Gross repayments to revolver 429,000 569,000
Significant components of cash provided by (used in) Other Liabilities (Other Assets)    
Other Liabilities 51,385 15,327
Other Assets $ (64,687) $ 751