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Consolidated Statements of Stockholders' Deficit - USD ($)
shares in Thousands, $ in Thousands
Common Stock
Additional Paid-in Capital
Retained Deficit
Accumulated Other Comprehensive Loss
Treasury Stock
Total
Balance at Aug. 29, 2020 $ 237 $ 1,283,495 $ (1,450,970) $ (354,252) $ (356,487) $ (877,977)
Balance, shares at Aug. 29, 2020 23,697          
Net income     2,170,314     2,170,314
Total other comprehensive income       46,266   46,266
Purchase of treasury stock         (3,378,321) $ (3,378,321)
Purchase of treasury stock, shares           (2,592)
Retirement of treasury shares $ (10) (60,005) (1,139,173)   1,199,188  
Retirement of treasury shares, shares (1,044)          
Issuance of common stock under stock options and stock purchase plans $ 3 187,754       $ 187,757
Issuance of common stock under stock options and stock purchase plans, shares 354          
Share-based compensation expense   54,425       54,425
Balance at Aug. 28, 2021 $ 230 1,465,669 (419,829) (307,986) (2,535,620) (1,797,536)
Balance, shares at Aug. 28, 2021 23,007          
Net income     2,429,604     2,429,604
Total other comprehensive income       7,450   7,450
Purchase of treasury stock         (4,359,991) $ (4,359,991)
Purchase of treasury stock, shares           (2,220)
Retirement of treasury shares $ (25) (292,975) (3,339,842)   3,632,842  
Retirement of treasury shares, shares (2,484)          
Issuance of common stock under stock options and stock purchase plans $ 2 113,932       $ 113,934
Issuance of common stock under stock options and stock purchase plans, shares 209          
Share-based compensation expense   67,626       67,626
Balance at Aug. 27, 2022 $ 207 1,354,252 (1,330,067) (300,536) (3,262,769) (3,538,913)
Balance at Aug. 27, 2022           (3,262,769)
Balance, shares at Aug. 27, 2022 20,732          
Net income     2,528,426     2,528,426
Total other comprehensive income       109,700   109,700
Purchase of treasury stock         (3,723,289) $ (3,723,289)
Purchase of treasury stock, shares           (1,524)
Retirement of treasury shares $ (20) (143,440) (4,157,637)   4,301,097  
Retirement of treasury shares, shares (2,051)          
Issuance of common stock under stock options and stock purchase plans $ 2 182,492       $ 182,494
Issuance of common stock under stock options and stock purchase plans, shares 255          
Share-based compensation expense   91,688       91,688
Balance at Aug. 26, 2023 $ 189 $ 1,484,992 $ (2,959,278) $ (190,836) $ (2,684,961) (4,349,894)
Balance at Aug. 26, 2023           $ (2,684,961)
Balance, shares at Aug. 26, 2023 18,936