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Accumulated Other Comprehensive Loss (Details) - USD ($)
$ in Thousands
3 Months Ended
Nov. 30, 2025
Nov. 30, 2024
Aug. 31, 2025
Foreign currency translation      
Beginning balance $ (1,060,062) $ (1,295,743)  
Foreign currency translation (181,886) (486,087)  
Income tax benefit (expense) 5,805 1,030  
Portion attributable to noncontrolling interests 2,908 10,074  
Foreign currency translation, net of tax (173,173) (474,983)  
Ending balance (1,233,235) (1,770,726)  
Defined benefit plans      
Beginning balance (195,940) (254,172)  
Reclassifications into net periodic pension and post-retirement expense 82,373 (17,680)  
Income tax benefit (expense) (15,490) 1,907  
Portion attributable to noncontrolling interests (63) 15  
Defined benefit plans, net of tax 66,820 (15,758)  
Ending balance (129,120) (269,930)  
Cash flow hedges      
Beginning balance (209,377) (4,827)  
Unrealized gain (loss) (53,907) 14,598  
Reclassification adjustments into Cost of services 29,354 (7,477)  
Income tax benefit (expense) (115) (11,036)  
Portion attributable to noncontrolling interests 23 4  
Cash flow hedges, net of tax (24,645) (3,911)  
Ending Balance (234,022) (8,738)  
Accumulated other comprehensive loss (1,596,377) $ (2,049,394) $ (1,465,379)
Net unrealized losses expected to be reclassified in the next twelve months $ 140,853