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Consolidated Statement of Cash Flows (USD $)
In Thousands
12 Months Ended
Feb. 28, 2011
Feb. 28, 2010
Feb. 28, 2009
OPERATING ACTIVITIES:   
Net income (loss)$ 87,018$ 81,574$ (227,759)
Adjustments to reconcile net income (loss) to cash flows from operating activities:   
Goodwill and other intangible asset impairments  290,166
Stock-based compensation13,0175,8704,506
Net gain on dispositions(254)(6,507) 
Net (gain) loss on disposal of fixed assets(3,463)591,215
Depreciation and intangible assets amortization41,04845,16550,016
Deferred income taxes28,64225,268(29,438)
Fixed asset impairments11913,0055,465
Other non-cash charges3,66312,4193,764
Changes in operating assets and liabilities, net of acquisitions and dispositions:   
Trade accounts receivable15,296(56,105)(6,504)
Inventories(13,097)14,9232,877
Other current assets(1,922)16,93617,309
Income taxes19,94718,863(5,934)
Deferred costs - net14,26218,40527,596
Accounts payable and other liabilities(31,015)(633)(68,154)
Other - net6,5388,2487,915
Total Cash Flows From Operating Activities179,799197,49073,040
INVESTING ACTIVITIES:   
Property, plant and equipment additions(36,346)(26,550)(55,733)
Cash payments for business acquisitions, net of cash acquired(500)(19,300)(37,882)
Proceeds from sale of fixed assets14,2421,124433
Proceeds from escrow related to party goods transaction25,151  
Other - net5,6634,713(44,153)
Total Cash Flows From Investing Activities8,210(40,013)(137,335)
FINANCING ACTIVITIES:   
Net (decrease) increase in long-term debt(98,250)(62,350)118,991
Net decrease in short-term debt(1,000)  
Sale of stock under benefit plans16,6206,557525
Excess tax benefit from share-based payment awards4,512148 
Purchase of treasury shares(13,521)(11,848)(73,983)
Dividends to shareholders(22,354)(19,049)(22,566)
Debt issuance costs(3,199)  
Total Cash Flows From Financing Activities(117,192)(86,542)22,967
EFFECT OF EXCHANGE RATE CHANGES ON CASH7,0726,798(21,956)
INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS77,88977,733(63,284)
Cash and Cash Equivalents at Beginning of Year137,94960,216123,500
Cash and Cash Equivalents at End of Year$ 215,838$ 137,949$ 60,216