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Supplementary Balance Sheet Information
9 Months Ended
Apr. 30, 2024
Balance Sheet Related Disclosures [Abstract]  
Supplementary Balance Sheet Information Supplementary Balance Sheet Information
The composition of property, plant and equipment follows (in thousands):
April 30, 2024July 31, 2023April 30, 2023
Land and land improvements$797,472 $796,730 $791,854 
Buildings and building improvements1,643,890 1,643,517 1,636,957 
Machinery and equipment1,907,830 1,792,378 1,784,197 
Furniture and fixtures319,342 298,725 334,173 
Software165,189 152,033 153,651 
Vehicles92,282 87,298 87,110 
Construction in progress78,509 134,113 105,729 
Gross property, plant and equipment5,004,514 4,904,794 4,893,671 
Accumulated depreciation(2,715,759)(2,533,237)(2,523,398)
Property, plant and equipment, net$2,288,755 $2,371,557 $2,370,273 
The composition of accounts payable and accrued liabilities follows (in thousands):
April 30, 2024July 31, 2023April 30, 2023
Trade payables$103,451 $148,521 $114,164 
Deferred revenue448,760 572,602 448,321 
Accrued salaries, wages and deferred compensation52,604 38,908 50,931 
Accrued benefits64,801 60,466 54,631 
Deposits44,973 37,798 40,326 
Operating lease liabilities39,207 36,904 37,046 
Other liabilities97,707 82,822 122,950 
Total accounts payable and accrued liabilities$851,503 $978,021 $868,369 

The changes in the net carrying amount of goodwill by segment for the nine months ended April 30, 2024 are as follows (in thousands):
MountainLodgingGoodwill, net
Balance at July 31, 2023$1,675,338 $45,006 $1,720,344 
Effects of changes in foreign currency exchange rates(43,734)— (43,734)
Balance at April 30, 2024$1,631,604 $45,006 $1,676,610