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Basis of Presentation (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Nov. 25, 2011
Nov. 25, 2011
Schurman [Member]
Nov. 25, 2011
Schurman [Member]
Investment in Equity [Member]
Nov. 25, 2011
Schurman [Member]
Liquidity Guaranty [Member]
Nov. 25, 2011
Schurman [Member]
Collectability of Receivables [Member]
Nov. 25, 2011
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Feb. 28, 2011
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Nov. 26, 2010
Schurman [Member]
Operating Lease Subleased to Schurman [Member]
Nov. 25, 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 $ 19.0 $ 24.9 $ 36.0 $ 40.3 $ 10.0
Equity Interest of Variable interest Entity   15.00%              
Limited bridge guarantee of Schurman's indebtedness   12              
Loans Receivable From VIE   12              
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