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Supplemental Balance Sheet Information
3 Months Ended
May 30, 2020
Inventory Disclosure [Abstract]  
Supplemental Balance Sheet Information
Supplemental Balance Sheet Information

Inventories
(In thousands)
 
May 30, 2020
 
February 29, 2020
Raw materials
 
$
38,502

 
$
36,611

Work-in-process
 
17,221

 
17,520

Finished goods
 
19,562

 
16,958

Total inventories
 
$
75,285

 
$
71,089



Other current liabilities
(In thousands)
 
May 30, 2020
 
February 29, 2020
Warranties
 
$
12,421

 
$
12,822

Accrued project losses
 
48,054

 
48,962

Property and other taxes
 
6,315

 
5,952

Accrued self-insurance reserves
 
7,343

 
8,307

Other
 
36,215

 
42,271

Total other current liabilities
 
$
110,348

 
$
118,314



Other non-current liabilities
(In thousands)
 
May 30, 2020
 
February 29, 2020
Deferred benefit from New Market Tax Credit transactions
 
$
15,717

 
$
15,717

Retirement plan obligations
 
8,242

 
8,294

Deferred compensation plan
 
8,298

 
8,452

Deferred tax liabilities
 
13,915

 
7,940

Other
 
21,324

 
16,459

Total other non-current liabilities
 
$
67,496

 
$
56,862