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CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' DEFICIT - USD ($)
shares in Thousands, $ in Thousands
Common Stock
Additional Paid-In Capital
Retained 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     1,384,543     1,384,543
Total other comprehensive income (loss)       49,870   49,870
Retirement of treasury shares $ (10) (60,005) (1,139,173)   1,199,188  
Retirement of treasury shares, shares (1,044)          
Purchase of treasury stock         (2,478,322) (2,478,322)
Issuance of common stock under stock options and stock purchase plans $ 2 121,922       121,924
Issuance of common stock under stock options and stock purchase plans (in shares) 244          
Share-based compensation expense   36,570       36,570
Balance at May. 08, 2021 $ 229 1,381,982 (1,205,600) (304,382) (1,635,621) (1,763,392)
Balance, shares at May. 08, 2021 22,897          
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          
Net income     596,164     596,164
Total other comprehensive income (loss)       (3,543)   (3,543)
Purchase of treasury stock         (899,999) (899,999)
Issuance of common stock under stock options and stock purchase plans $ 1 55,413       55,414
Issuance of common stock under stock options and stock purchase plans (in shares) 101          
Share-based compensation expense   12,145       12,145
Balance at May. 08, 2021 $ 229 1,381,982 (1,205,600) (304,382) (1,635,621) (1,763,392)
Balance, shares at May. 08, 2021 22,897          
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     1,619,561     1,619,561
Total other comprehensive income (loss)       5,795   5,795
Retirement of treasury shares $ (25) (294,894) (3,337,892)   3,632,811  
Retirement of treasury shares, shares (2,484)          
Purchase of treasury stock         (3,359,994) (3,359,994)
Issuance of common stock under stock options and stock purchase plans $ 2 98,084       98,086
Issuance of common stock under stock options and stock purchase plans (in shares) 184          
Share-based compensation expense   46,858       46,858
Balance at May. 07, 2022 $ 207 1,315,717 (2,138,160) (302,191) (2,262,803) (3,387,230)
Balance, shares at May. 07, 2022 20,707          
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          
Net income     592,571     592,571
Total other comprehensive income (loss)       7,972   7,972
Purchase of treasury stock         (899,999) (899,999)
Issuance of common stock under stock options and stock purchase plans $ 1 31,628       31,629
Issuance of common stock under stock options and stock purchase plans (in shares) 57          
Share-based compensation expense   18,074       18,074
Balance at May. 07, 2022 $ 207 $ 1,315,717 $ (2,138,160) $ (302,191) $ (2,262,803) $ (3,387,230)
Balance, shares at May. 07, 2022 20,707