(Q1)May 24, 2024 | (FY)Feb 23, 2024 | (Q4)Feb 23, 2024 | (Q3)Nov 24, 2023 | (Q2)Aug 25, 2023 | (Q1)May 26, 2023 | (FY)Feb 24, 2023 | (Q4)Feb 24, 2023 | (Q3)Nov 25, 2022 | (Q2)Aug 26, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 419.65%208.9M | 252.43%318.6M | 252.43%318.6M | 376.36%262M | 194.25%153.6M | -65.55%40.2M | -55.00%90.4M | -55.00%90.4M | -80.01%55M | -85.53%52.2M |
-Cash and cash equivalents | 330.85%173.2M | 252.43%318.6M | 252.43%318.6M | 376.36%262M | 194.25%153.6M | -65.55%40.2M | -55.00%90.4M | -55.00%90.4M | -80.01%55M | -85.53%52.2M |
-Short-term investments | --35.7M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Receivables | -10.68%324.5M | -9.38%338.3M | -9.38%338.3M | -14.87%354.5M | -13.84%372.9M | -0.57%363.3M | -2.30%373.3M | -2.30%373.3M | 8.35%416.4M | 14.92%432.8M |
-Accounts receivable | -10.68%324.5M | -9.38%338.3M | -9.38%338.3M | -11.40%354.5M | -9.77%372.9M | 4.10%363.3M | 9.67%373.3M | 9.67%373.3M | 20.04%400.1M | 27.21%413.3M |
-Taxes receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -68.04%16.3M | -62.28%19.5M |
Inventory | -19.43%247.6M | -27.74%231M | -27.74%231M | -31.36%259.8M | -31.69%271M | -17.39%307.3M | -1.99%319.7M | -1.99%319.7M | 32.30%378.5M | 69.97%396.7M |
Prepaid assets | 14.49%39.5M | 10.38%31.9M | 10.38%31.9M | 8.39%31M | 23.08%38.4M | 15.77%34.5M | 20.42%28.9M | 20.42%28.9M | -19.89%28.6M | -14.75%31.2M |
Other current assets | 0.24%41.7M | -7.26%39.6M | -7.26%39.6M | 17.22%42.2M | 15.00%46M | 23.44%41.6M | 64.23%42.7M | 64.23%42.7M | 62.16%36M | 76.21%40M |
Total current assets | 5.67%862.2M | 8.53%959.4M | 8.53%959.4M | 5.94%968.8M | -5.43%901.2M | -11.08%815.9M | -7.84%884M | -7.84%884M | -8.87%914.5M | -7.49%952.9M |
Non current assets | ||||||||||
Net PPE | -11.74%500.1M | -9.27%521.5M | -9.27%521.5M | -11.05%533.9M | -8.18%549.2M | -2.70%566.6M | -4.61%574.8M | -4.61%574.8M | -2.80%600.2M | -3.77%598.1M |
-Gross PPE | -2.44%1.63B | -1.36%1.64B | -1.36%1.64B | -3.50%1.65B | -1.23%1.66B | -0.10%1.67B | -1.67%1.66B | -1.67%1.66B | 0.49%1.71B | -1.11%1.68B |
-Accumulated depreciation | -2.35%-1.13B | -2.81%-1.12B | -2.81%-1.12B | -0.59%-1.12B | -2.60%-1.11B | -1.29%-1.1B | 0.04%-1.09B | 0.04%-1.09B | -2.37%-1.11B | -0.42%-1.09B |
Goodwill and other intangible assets | -5.02%365.2M | -4.79%369.4M | -4.79%369.4M | -5.44%373.7M | -4.75%381M | 19.63%384.5M | 18.18%388M | 18.18%388M | 19.11%395.2M | 33.16%400M |
-Goodwill | -0.83%274.7M | -0.72%274.8M | -0.72%274.8M | -1.12%274.9M | 0.11%277.3M | 14.56%277M | 14.00%276.8M | 14.00%276.8M | 14.54%278M | 27.01%277M |
-Other intangible assets | -15.81%90.5M | -14.93%94.6M | -14.93%94.6M | -15.70%98.8M | -15.69%103.7M | 35.05%107.5M | 30.06%111.2M | 30.06%111.2M | 31.54%117.2M | 49.45%123M |
Investments and advances | 7.98%55.5M | 9.00%55.7M | 9.00%55.7M | 6.48%52.6M | 19.21%54.6M | -3.20%51.4M | -3.77%51.1M | -3.77%51.1M | -2.37%49.4M | -7.29%45.8M |
Non current deferred assets | -2.04%115.2M | -1.28%115.8M | -1.28%115.8M | 1.03%117.6M | 3.75%118.9M | -2.65%117.6M | -3.22%117.3M | -3.22%117.3M | -2.76%116.4M | -0.95%114.6M |
Defined pension benefit | 5.76%168.9M | 6.10%166.9M | 6.10%166.9M | 0.87%162.6M | -0.49%160.9M | -1.90%159.7M | -6.37%157.3M | -6.37%157.3M | -5.18%161.2M | -4.77%161.7M |
Other non current assets | 102.35%60.3M | 58.42%48M | 58.42%48M | 19.68%37.7M | 11.19%32.8M | 3.47%29.8M | 5.94%30.3M | 5.94%30.3M | 22.57%31.5M | 10.49%29.5M |
Total non current assets | -3.39%1.27B | -3.15%1.28B | -3.15%1.28B | -5.60%1.28B | -3.87%1.3B | 3.18%1.31B | 1.31%1.32B | 1.31%1.32B | 2.93%1.35B | 5.16%1.35B |
Total assets | 0.09%2.13B | 1.54%2.24B | 1.54%2.24B | -0.95%2.25B | -4.52%2.2B | -2.80%2.13B | -2.57%2.2B | -2.57%2.2B | -2.17%2.27B | -0.47%2.3B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 4.32%224.6M | 3.83%211.3M | 3.83%211.3M | -7.36%231.6M | -17.21%227M | -16.19%215.3M | -16.46%203.5M | -16.46%203.5M | -3.03%250M | 16.98%274.2M |
-accounts payable | 4.32%224.6M | 3.83%211.3M | 3.83%211.3M | -7.36%231.6M | -17.21%227M | -16.19%215.3M | -16.46%203.5M | -16.46%203.5M | -3.03%250M | 16.98%274.2M |
Current accrued expenses | -10.78%107.6M | -14.91%99.9M | -14.91%99.9M | -9.75%114.8M | -9.77%113.6M | 1.26%120.6M | -2.09%117.4M | -2.09%117.4M | -0.47%127.2M | -5.20%125.9M |
Current debt and capital lease obligation | -10.90%41.7M | -43.91%45.1M | -43.91%45.1M | -60.18%45M | -66.94%52.5M | -41.79%46.8M | 63.08%80.4M | 63.08%80.4M | 132.03%113M | 221.46%158.8M |
-Current debt | ---- | ---- | ---- | ---- | -95.60%5.2M | -97.85%800K | 600.00%35.7M | 600.00%35.7M | 1,308.00%70.4M | 1,836.07%118.1M |
-Current capital lease obligation | -9.35%41.7M | 0.89%45.1M | 0.89%45.1M | 5.63%45M | 16.22%47.3M | 6.48%46M | 1.13%44.7M | 1.13%44.7M | -2.52%42.6M | -6.00%40.7M |
Current deferred liabilities | -7.24%47.4M | -11.81%44.8M | -11.81%44.8M | -4.09%54M | -19.45%52.6M | 3.23%51.1M | -4.87%50.8M | -4.87%50.8M | 0.18%56.3M | 37.76%65.3M |
Current liabilities | 0.28%535.1M | 0.63%607.1M | 0.63%607.1M | -7.14%630.6M | -18.65%589.9M | -9.14%533.6M | 6.36%603.3M | 6.36%603.3M | 14.91%679.1M | 32.39%725.1M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -6.55%569.3M | -4.96%584.9M | -4.96%584.9M | -4.25%588.2M | -2.48%598.9M | -1.33%609.2M | -6.70%615.4M | -6.70%615.4M | -8.82%614.3M | -8.59%614.1M |
-Long term debt | 0.18%446.5M | 0.18%446.3M | 0.18%446.3M | 0.11%446.1M | 0.11%445.9M | 0.11%445.7M | -6.68%445.5M | -6.68%445.5M | -6.76%445.6M | -6.90%445.4M |
-Long term capital lease obligation | -24.89%122.8M | -18.42%138.6M | -18.42%138.6M | -15.77%142.1M | -9.31%153M | -5.05%163.5M | -6.75%169.9M | -6.75%169.9M | -13.84%168.7M | -12.77%168.7M |
Employee benefits | 2.73%98M | 1.46%104.5M | 1.46%104.5M | -10.04%100.4M | -12.75%97.2M | -17.47%95.4M | -18.71%103M | -18.71%103M | -22.55%111.6M | -23.28%111.4M |
Other non current liabilities | -10.82%51.9M | -3.28%53.1M | -3.28%53.1M | -3.72%51.8M | 13.12%59.5M | 11.07%58.2M | -0.72%54.9M | -0.72%54.9M | 0.75%53.8M | 10.74%52.6M |
Total non current liabilities | -5.72%719.2M | -3.98%742.5M | -3.98%742.5M | -5.04%740.4M | -2.89%755.6M | -2.88%762.8M | -8.12%773.3M | -8.12%773.3M | -10.50%779.7M | -9.99%778.1M |
Total liabilities | -3.25%1.25B | -1.96%1.35B | -1.96%1.35B | -6.02%1.37B | -10.49%1.35B | -5.56%1.3B | -2.29%1.38B | -2.29%1.38B | -0.23%1.46B | 6.44%1.5B |
Shareholders'equity | ||||||||||
Share capital | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
-common stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
-Preferred stock | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
Retained earnings | 4.92%911.4M | 3.81%912.8M | 3.81%912.8M | 3.21%903.4M | 1.02%884.4M | -0.47%868.7M | -2.44%879.3M | -2.44%879.3M | -4.88%875.3M | -8.06%875.5M |
Paid-in capital | -5.98%28.3M | 112.37%41.2M | 112.37%41.2M | 139.10%37.3M | 152.55%34.6M | 192.23%30.1M | 1,193.33%19.4M | 1,193.33%19.4M | --15.6M | --13.7M |
Gains losses not affecting retained earnings | 4.45%-66.6M | 7.72%-66.9M | 7.72%-66.9M | 20.30%-64.8M | 26.61%-65.9M | -1.01%-69.7M | -43.28%-72.5M | -43.28%-72.5M | -27.83%-81.3M | -76.42%-89.8M |
Total stockholders'equity | 5.31%873.1M | 7.37%887.1M | 7.37%887.1M | 8.19%875.9M | 6.72%853.1M | 1.84%829.1M | -3.05%826.2M | -3.05%826.2M | -5.49%809.6M | -11.31%799.4M |
Total equity | 5.31%873.1M | 7.37%887.1M | 7.37%887.1M | 8.19%875.9M | 6.72%853.1M | 1.84%829.1M | -3.05%826.2M | -3.05%826.2M | -5.49%809.6M | -11.31%799.4M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data