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CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' DEFICIT - USD ($)
shares in Thousands, $ in Thousands
Common Stock
Additional Paid-In Capital
Retained Earnings (Deficit)
Accumulated Other Comprehensive Loss
Treasury Stock
Total
Balance at Aug. 29, 2020 $ 237 $ 1,283,495 $ (1,450,970) $ (354,252) $ (356,487) $ (877,977)
Balance, Shares at Aug. 29, 2020 23,697          
Net income     788,379     788,379
Total other comprehensive income (loss)       53,413   53,413
Retirement of treasury shares $ (10) (60,005) (1,139,173)   1,199,188  
Retirement of treasury shares, shares (1,044)          
Purchase of treasury stock         (1,578,323) (1,578,323)
Issuance of common stock under stock options and stock purchase plans $ 1 66,509       66,510
Issuance of common stock under stock options and stock purchase plans (in shares) 143          
Share-based compensation expense   24,425       24,425
Balance at Feb. 13, 2021 $ 228 1,314,424 (1,801,764) (300,839) (735,622) (1,523,573)
Balance, shares at Feb. 13, 2021 22,796          
Balance at Nov. 21, 2020 $ 238 1,323,037 (1,008,537) (306,907) (1,034,811) (1,026,980)
Balance, Shares at Nov. 21, 2020 23,761          
Net income     345,946     345,946
Total other comprehensive income (loss)       6,068   6,068
Retirement of treasury shares $ (10) (60,005) (1,139,173)   1,199,188  
Retirement of treasury shares, shares (1,044)          
Purchase of treasury stock         (899,999) (899,999)
Issuance of common stock under stock options and stock purchase plans   37,844       37,844
Issuance of common stock under stock options and stock purchase plans (in shares) 79          
Share-based compensation expense   13,548       13,548
Balance at Feb. 13, 2021 $ 228 1,314,424 (1,801,764) (300,839) (735,622) (1,523,573)
Balance, shares at Feb. 13, 2021 22,796          
Balance at Aug. 28, 2021 $ 230 1,465,669 (419,829) (307,986) (2,535,620) (1,797,536)
Balance, Shares at Aug. 28, 2021 23,007          
Net income     1,026,990     1,026,990
Total other comprehensive income (loss)       (2,177)   (2,177)
Retirement of treasury shares $ (25) (294,894) (3,337,892)   3,632,811  
Retirement of treasury shares, shares (2,484)          
Purchase of treasury stock         (2,459,995) (2,459,995)
Issuance of common stock under stock options and stock purchase plans $ 1 66,456       66,457
Issuance of common stock under stock options and stock purchase plans (in shares) 127          
Share-based compensation expense   28,784       28,784
Balance at Feb. 12, 2022 $ 206 1,266,015 (2,730,731) (310,163) (1,362,804) (3,137,477)
Balance, shares at Feb. 12, 2022 20,650          
Balance at Nov. 20, 2021 $ 231 1,499,557 135,406 (324,327) (3,435,617) (2,124,750)
Balance, Shares at Nov. 20, 2021 23,057          
Net income     471,755     471,755
Total other comprehensive income (loss)       14,164   14,164
Retirement of treasury shares $ (25) (294,894) (3,337,892)   3,632,811  
Retirement of treasury shares, shares (2,484)          
Purchase of treasury stock         (1,559,998) (1,559,998)
Issuance of common stock under stock options and stock purchase plans   45,356       45,356
Issuance of common stock under stock options and stock purchase plans (in shares) 77          
Share-based compensation expense   15,996       15,996
Balance at Feb. 12, 2022 $ 206 $ 1,266,015 $ (2,730,731) $ (310,163) $ (1,362,804) $ (3,137,477)
Balance, shares at Feb. 12, 2022 20,650