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CONDENSED 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. 26, 2023 $ 189 $ 1,484,992 $ (2,959,278) $ (190,836) $ (2,684,961) $ (4,349,894)
Balance, shares at Aug. 26, 2023 18,936          
Net income     1,108,493     1,108,493
Total other comprehensive (loss) income       (14,063)   (14,063)
Purchase of treasury stock         (1,725,047) (1,725,047)
Retirement of treasury shares $ (17) (142,391) (4,128,131)   4,270,539  
Retirement of treasury shares, shares (1,703)          
Issuance of common stock under stock options and stock purchase plans $ 2 98,337       98,339
Issuance of common stock under stock options and stock purchase plans, shares 118          
Share-based compensation expense   44,851       44,851
Balance at Feb. 10, 2024 $ 174 1,485,789 (5,978,916) (204,899) (139,469) (4,837,321)
Balance, shares at Feb. 10, 2024 17,351          
Balance at Nov. 18, 2023 $ 190 1,548,510 (2,365,815) (210,359) (4,186,197) (5,213,671)
Balance, shares at Nov. 18, 2023 18,984          
Net income     515,030     515,030
Total other comprehensive (loss) income       5,460   5,460
Purchase of treasury stock         (223,811) (223,811)
Retirement of treasury shares $ (17) (142,391) (4,128,131)   4,270,539  
Retirement of treasury shares, shares (1,703)          
Issuance of common stock under stock options and stock purchase plans $ 1 56,890       56,891
Issuance of common stock under stock options and stock purchase plans, shares 70          
Share-based compensation expense   22,780       22,780
Balance at Feb. 10, 2024 $ 174 1,485,789 (5,978,916) (204,899) (139,469) (4,837,321)
Balance, shares at Feb. 10, 2024 17,351          
Balance at Aug. 31, 2024 $ 175 1,621,553 (4,424,982) (361,618) (1,584,742) (4,749,614)
Balance, shares at Aug. 31, 2024 17,451          
Net income     1,052,856     1,052,856
Total other comprehensive (loss) income       (45,971)   (45,971)
Purchase of treasury stock         (834,569) (834,569)
Retirement of treasury shares $ (7) (69,878) (2,049,117)   2,119,002  
Retirement of treasury shares, shares (710)          
Issuance of common stock under stock options and stock purchase plans   64,302       64,302
Issuance of common stock under stock options and stock purchase plans, shares 81          
Share-based compensation expense   55,223       55,223
Balance at Feb. 15, 2025 $ 168 1,671,200 (5,421,243) (407,589) (300,309) (4,457,773)
Balance, shares at Feb. 15, 2025 16,822          
Balance at Nov. 23, 2024 $ 175 1,684,064 (3,860,049) (407,155) (2,089,956) (4,672,921)
Balance, shares at Nov. 23, 2024 17,495          
Net income     487,923     487,923
Total other comprehensive (loss) income       (434)   (434)
Purchase of treasury stock         (329,355) (329,355)
Retirement of treasury shares $ (7) (69,878) (2,049,117)   2,119,002  
Retirement of treasury shares, shares (710)          
Issuance of common stock under stock options and stock purchase plans   28,300       28,300
Issuance of common stock under stock options and stock purchase plans, shares 37          
Share-based compensation expense   28,714       28,714
Balance at Feb. 15, 2025 $ 168 $ 1,671,200 $ (5,421,243) $ (407,589) $ (300,309) $ (4,457,773)
Balance, shares at Feb. 15, 2025 16,822