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Reconciliation of Funded Status of Plans to Consolidated Balance Sheets (Detail) (USD $)
In Thousands, unless otherwise specified
Aug. 31, 2014
Aug. 31, 2013
Aug. 31, 2012
Funded Status      
Ending fair value of plan assets $ 136,451 $ 117,478 $ 109,120
Ending projected benefit obligation (182,653) (164,294) (158,008)
Under or unfunded status (46,202) (46,816)  
Consolidated Balance Sheet Information      
Accrued benefit liability, current (146) (117)  
Accrued benefit liability, noncurrent (46,056) (46,699)  
Net liability recorded at August 31 (46,202) (46,816)  
Amounts recognized in accumulated other comprehensive loss consist of:      
Net actuarial loss 48,858 47,147  
Prior service cost (1,594) (1,698)  
Accumulated other comprehensive loss, before taxes $ 47,264 $ 45,449