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CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' DEFICIT (Unaudited) - USD ($)
$ in Thousands
Common Stock
Additional Paid-in Capital
Retained Deficit
AOCI Attributable to Parent [Member]
Treasury Stock
Total
Balance at Aug. 27, 2022 $ 207 $ 1,354,252 $ (1,330,067) $ (300,536) $ (3,262,769) $ (3,538,913)
Balance, shares at Aug. 27, 2022 20,732,000          
Net income     1,663,585     1,663,585
Total other comprehensive income       73,061   73,061
Retirement of treasury shares $ (20) (143,440) (4,157,637)   4,301,097  
Retirement of treasury shares, shares (2,051,000)          
Purchase of treasury stock         (2,714,015) $ (2,714,015)
Purchase of treasury stock, shares           (1,120,000)
Issuance of common stock under stock options and stock purchase plans $ 2 154,861       $ 154,863
Issuance of common stock under stock options and stock purchase plans, shares 219,000          
Share-based compensation expense   59,842       59,842
Balance at May. 06, 2023 $ 189 1,425,515 (3,824,119) (227,475) (1,675,687) (4,301,577)
Balance, shares at May. 06, 2023 18,900,000          
Balance at Feb. 11, 2023 $ 188 1,324,258 (4,471,842) (269,312) (767,462) (4,184,170)
Balance, shares at Feb. 11, 2023 18,786,000          
Net income     647,723     647,723
Total other comprehensive income       41,837   41,837
Purchase of treasury stock         (908,225) $ (908,225)
Purchase of treasury stock, shares           (356,000)
Issuance of common stock under stock options and stock purchase plans $ 1 82,104       $ 82,105
Issuance of common stock under stock options and stock purchase plans, shares 114,000          
Share-based compensation expense   19,153       19,153
Balance at May. 06, 2023 $ 189 1,425,515 (3,824,119) (227,475) (1,675,687) (4,301,577)
Balance, shares at May. 06, 2023 18,900,000          
Balance at Aug. 26, 2023 $ 189 1,484,992 (2,959,278) (190,836) (2,684,961) (4,349,894)
Balance, shares at Aug. 26, 2023 18,936,000          
Net income     1,760,219     1,760,219
Total other comprehensive income       (12,063)   (12,063)
Retirement of treasury shares $ (17) (142,391) (4,128,131)   4,270,539  
Retirement of treasury shares, shares (1,703,000)          
Purchase of treasury stock         (2,459,760) $ (2,459,760)
Purchase of treasury stock, shares           (905,400)
Issuance of common stock under stock options and stock purchase plans $ 2 154,365       $ 154,367
Issuance of common stock under stock options and stock purchase plans, shares 192,000          
Share-based compensation expense   68,894       68,894
Balance at May. 04, 2024 $ 174 1,565,860 (5,327,190) (202,899) (874,182) (4,838,237)
Balance, shares at May. 04, 2024 17,425,000          
Balance at Feb. 10, 2024 $ 174 1,485,789 (5,978,916) (204,899) (139,469) (4,837,321)
Balance, shares at Feb. 10, 2024 17,351,000          
Net income     651,726     651,726
Total other comprehensive income       2,000   2,000
Purchase of treasury stock         (734,713) $ (734,713)
Purchase of treasury stock, shares           (242,000)
Issuance of common stock under stock options and stock purchase plans   56,028       $ 56,028
Issuance of common stock under stock options and stock purchase plans, shares 74,000          
Share-based compensation expense   24,043       24,043
Balance at May. 04, 2024 $ 174 $ 1,565,860 $ (5,327,190) $ (202,899) $ (874,182) $ (4,838,237)
Balance, shares at May. 04, 2024 17,425,000