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CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Aug. 31, 2013
Feb. 28, 2013
Current assets    
Cash $ 17,681 $ 6,232
Accounts receivable, net of allowance for doubtful receivables of $3,748 at August 31, 2013 and $3,952 at February 28, 2013 59,080 60,071
Prepaid expenses 6,743 7,425
Prepaid income taxes 1,382 4,170
Inventories 100,576 109,698
Deferred income taxes 5,820 5,820
Total current assets 191,282 193,416
Property, plant and equipment, at cost    
Plant, machinery and equipment 155,910 155,093
Land and buildings 78,502 80,438
Other 23,285 23,252
Total property, plant and equipment 257,697 258,783
Less accumulated depreciation 169,913 166,870
Net property, plant and equipment 87,784 91,913
Goodwill 121,809 121,809
Trademarks, net 63,378 63,378
Other intangible assets, net 19,183 20,773
Deferred finance charges, net 447 522
Other assets 3,396 3,481
Total assets 487,279 495,292
Current liabilities    
Accounts payable 22,495 22,256
Accrued expenses    
Employee compensation and benefits 15,609 17,003
Taxes other than income 1,203 582
Income taxes payable 1,269 621
Other 2,881 2,577
Total current liabilities 43,457 43,039
Long-term debt 35,000 57,500
Liability for pension benefits 10,381 9,341
Deferred income taxes 22,609 23,184
Other liabilities 995 1,012
Total liabilities 112,442 134,076
Commitments and contingencies      
Shareholders' equity    
Preferred stock $10 par value, authorized 1,000,000 shares; none issued      
Common stock $2.50 par value, authorized 40,000,000 shares; issued 30,053,443 shares at August 31 and February 28, 2013 75,134 75,134
Additional paid-in capital 121,825 122,186
Retained earnings 265,433 251,713
Accumulated other comprehensive income (loss):    
Foreign currency translation, net of taxes (358) 571
Minimum pension liability, net of taxes (15,474) (15,474)
Total accumulated other comprehensive income (loss) (15,832) (14,903)
Treasury stock (71,723) (72,914)
Total shareholders' equity 374,837 361,216
Total liabilities and shareholders' equity $ 487,279 $ 495,292