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Supplemental Balance Sheet Information
3 Months Ended
Jun. 01, 2019
Inventory Disclosure [Abstract]  
Supplemental Balance Sheet Information
Supplemental Balance Sheet Information

Inventories
In thousands
 
June 1, 2019
 
March 2, 2019
Raw materials
 
$
43,921

 
$
43,890

Work-in-process
 
16,535

 
15,533

Finished goods
 
16,889

 
18,921

Total inventories
 
$
77,345

 
$
78,344



Other current liabilities
In thousands
 
June 1, 2019
 
March 2, 2019
Warranties
 
$
11,411

 
$
12,475

Accrued project losses
 
32,263

 
37,085

Taxes
 
6,696

 
8,026

Accrued self-insurance reserves
 
6,658

 
9,537

Other
 
28,062

 
25,573

Total other current liabilities
 
$
85,090

 
$
92,696



Other non-current liabilities
In thousands
 
June 1, 2019
 
March 2, 2019
Deferred benefit from New Market Tax Credit transactions
 
$
26,458

 
$
26,458

Retirement plan obligations
 
7,633

 
7,633

Deferred compensation plan
 
10,892

 
10,408

Other
 
33,729

 
32,683

Total other non-current liabilities
 
$
78,712

 
$
77,182