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Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
9 Months Ended
Nov. 30, 2025
Nov. 30, 2024
Cash Flows From Operating Activities:    
Net income (loss) available to common shareholders $ 301,329 $ 32,226
Series A Preferred Stock Dividends 0 1,200
Plus: Redemption premium on Series A Preferred Stock 0 75,198
Net income 301,329 108,624
Adjustments to reconcile net income to net cash provided by operating activities:    
Bad debt expense (recovery) 109 (66)
Depreciation and amortization 66,976 61,383
Deferred income taxes 25,015 7,421
Equity in earnings of unconsolidated entities (231,431) (12,470)
Distribution on investment in AVAIL joint venture 273,223 6,764
Restructuring charges 3,744 0
Net gain on sale of property, plant and equipment (2,613) (397)
Amortization of debt financing costs 9,716 9,359
Share-based compensation expense 11,899 11,244
Changes in current assets and current liabilities 537 2,909
Changes in other long-term assets and long-term liabilities (5,632) (9,174)
Net cash provided by operating activities 452,872 185,597
Cash flows from investing activities    
Purchase of property, plant and equipment (58,722) (85,942)
Acquisition of subsidiaries, net of cash acquired (30,144) 0
Proceeds from sale of property, plant and equipment 3,878 842
Net cash used in investing activities (84,988) (85,100)
Cash flows from financing activities:    
Proceeds from issuance of common stock 2,056 310,237
Redemption of Series A Preferred Stock 0 (308,920)
Tax payments related to common stock issued under stock-based plans (5,015) (4,977)
Payments on Revolving Credit Facility (571,000) (261,000)
Payments of debt financing costs (1,178) (1,541)
Payments on long-term debt and finance leases (497,091) (90,689)
Repurchase and retirement of treasury stock (20,000) 0
Payments of dividends (17,099) (18,022)
Net cash used in financing activities (368,327) (103,912)
Effect of exchange rate changes on cash (422) 550
Net decrease in cash and cash equivalents (865) (2,865)
Cash and cash equivalents at beginning of period 1,488 4,349
Cash and cash equivalents at end of period 623 1,484
Revolving Credit Facility    
Cash flows from financing activities:    
Proceeds from Revolving Credit Facility 591,000 271,000
Secured Debt    
Cash flows from financing activities:    
Proceeds from Revolving Credit Facility $ 150,000 $ 0