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Indebtedness and Credit Agreement (Tables)
12 Months Ended
Mar. 01, 2014
Indebtedness and Credit Agreement  
Summary of indebtedness and lease financing obligations

 

 
  2014   2013  

Secured Debt:

             

Senior secured revolving credit facility due February 2018

  $ 400,000   $ 665,000  

Tranche 6 Term Loan due February 2020

    1,152,293     1,161,000  

8.00% senior secured notes (senior lien) due August 2020

    650,000     650,000  

7.5% senior secured notes (second lien) due March 2017

        500,000  

Tranche 1 Term Loan (second lien) due August 2020

    470,000     470,000  

Tranche 2 Term Loan (second lien) due June 2021

    500,000      

10.25% senior secured notes (second lien) due October 2019 ($270,000 face value less unamortized discount of $1,160 and $1,364)

    268,840     268,636  

Other secured

    5,324     5,298  
           

 

    3,446,457     3,719,934  

Guaranteed Unsecured Debt:

   
 
   
 
 

9.5% senior notes due June 2017 ($810,000 face value less unamortized discount of $5,529)

        804,471  

6.75% senior notes due June 2021

    810,000      

9.25% senior notes due March 2020 ($902,000 face value plus unamortized premium of $4,087 and $4,759)

    906,087     906,759  
           

 

    1,716,087     1,711,230  

Unguaranteed Unsecured Debt:

   
 
   
 
 

8.5% convertible notes due May 2015

    64,188     64,188  

7.7% notes due February 2027

    295,000     295,000  

6.875% fixed-rate senior notes due December 2028

    128,000     128,000  
           

 

    487,188     487,188  

Lease financing obligations

   
107,411
   
115,179
 
           

Total debt

    5,757,143     6,033,531  

Current maturities of long-term debt and lease financing obligations

    (49,174 )   (37,311 )
           

Long-term debt and lease financing obligations, less current maturities

  $ 5,707,969   $ 5,996,220