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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended 171 Months Ended
Feb. 29, 2020
Jun. 01, 2019
Mar. 02, 2019
Jun. 02, 2018
Feb. 29, 2020
Mar. 02, 2019
Mar. 03, 2018
Mar. 02, 2019
Cash Flows from Operating Activities:                
Net (loss) earnings $ (65,414) $ (371,085) $ (253,793) $ 43,576 $ (613,816) $ (137,224) $ 424,858  
Adjustments to reconcile net (loss) earnings to net cash provided by operating activities:                
Depreciation and amortization         342,511 338,825 313,107  
Loss on sale leaseback transaction         27,357      
Gain on sale of building         0 (29,690) 0  
Gain on debt extinguishment         0 (412) 0  
Goodwill and other impairments         509,226 509,905 0  
Stock-based compensation         45,676 58,514 70,510  
Deferred income taxes         (145,543) (104,089) 175,351  
Other         (3,446) (814) (69)  
Decrease (increase) in assets, net of effect of acquisitions:                
Merchandise inventories         506,334 106,928 176,672  
Trading investment securities         21 86,277 (16,036)  
Other current assets         (4,781) 269,186 (258,853)  
Other assets         218 218 (4,754)  
(Decrease) increase in liabilities, net of effect of acquisitions:                
Accounts payable         (124,206) (90,657) 13,210  
Accrued expenses and other current liabilities         61,864 (77,147) 80,375  
Merchandise credit and gift card liabilities         1,154 16,016 25,510  
Income taxes payable         (22,783) 8,360 (64,941)  
Operating lease assets and liabilities, net         (2,899)      
Other liabilities         14,054 (35,918) (75,251)  
Net cash provided by operating activities         590,941 918,278 859,689  
Cash Flows from Investing Activities:                
Purchase of held-to-maturity investment securities         (443,500) (734,424) (292,500)  
Redemption of held-to-maturity investment securities         545,000 538,925 0  
Capital expenditures         (277,401) (325,366) (375,793)  
Proceeds from sale of a building         0 11,183 0  
Proceeds from sale-leaseback transaction         267,277      
Payment for acquisitions, net of cash acquired         0 0 (6,119)  
Net cash provided by (used in) investing activities         91,376 (509,682) (674,412)  
Cash Flows from Financing Activities:                
Payment of dividends         (85,482) (86,287) (80,877)  
Repurchase of common stock, including fees         (99,710) (148,073) (252,433) $ (10,700,000)
Payment of senior notes         0 (4,224) 0  
Proceeds from exercise of stock options         2,346 0 10,313  
Payment of other liabilities         0 0 (434)  
Net cash used in financing activities         (182,846) (238,584) (323,431)  
Net increase (decrease) in cash, cash equivalents and restricted cash, including cash balances classified as assets held-for-sale         498,494 162,831 (142,189)  
Effect of exchange rate changes on cash, cash equivalents, and restricted cash         (977) (7,181) (4,035)  
Less: Cash balances classified as assets held-for sale (4,815)   0   (4,815) 0 0 0
Net increase (decrease) in cash, cash equivalents and restricted cash         493,679 162,831 (142,189)  
Cash, cash equivalents and restricted cash:                
Beginning of period   $ 529,971   $ 367,140 529,971 367,140 509,329  
End of period $ 1,023,650   $ 529,971   $ 1,023,650 $ 529,971 $ 367,140 $ 529,971