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Basis of Presentation (Details) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Aug. 26, 2011
Aug. 26, 2011
Schurman [Member]
Aug. 26, 2011
Schurman [Member]
Investment in Equity [Member]
Aug. 26, 2011
Schurman [Member]
Liquidity Guaranty [Member]
Aug. 26, 2011
Schurman [Member]
Collectability of Receivables [Member]
Aug. 26, 2011
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Feb. 28, 2011
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Aug. 27, 2010
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Aug. 26, 2011
Schurman [Member]
Subordinated credit facility [Member]
Variable Interest Entity, Reporting Entity Involvement, Maximum Loss Exposure [Abstract]                  
Maximum exposure to loss, Amount     $ 1.9 $ 12.0 $ 12.6 $ 28.5 $ 36.0 $ 43.3 $ 10.0
Equity Interest of Variable interest Entity   15.00%              
Limited bridge guarantee of Schurman's indebtedness   12              
Loans Receivable From VIE   0              
Initial term of Subordinated Credit Facility   19 months              
End period of the Liquidity Guaranty   January 2014              
Basis of Presentation (Textuals) [Abstract]                  
Total investment $ 12.5