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Restructuring, Severance and Related Charges (Liability Activity) (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Feb. 28, 2021
Feb. 29, 2020
Feb. 28, 2021
Feb. 29, 2020
Restructuring Reserve [Roll Forward]        
Restructuring related charges $ 6,626 $ 29,604 $ 4,911 $ 74,855
Employee Severance and Benefit Costs        
Restructuring Reserve [Roll Forward]        
Restructuring related charges 2,140 8,012 2,708 26,793
Lease Costs        
Restructuring Reserve [Roll Forward]        
Restructuring related charges 0 6,229 (2,873) 6,468
Asset Write-off Costs        
Restructuring Reserve [Roll Forward]        
Restructuring related charges 4,592 9,109 4,590 25,425
Other Related Costs        
Restructuring Reserve [Roll Forward]        
Restructuring related charges (106) $ 6,254 486 $ 16,169
2020 Restructuring Plan        
Restructuring Reserve [Roll Forward]        
Balance as of August 31, 2020     10,885  
Restructuring related charges     4,392  
Asset write-off charge and other non-cash activity     (2,797)  
Cash payments     (7,137)  
Balance as of February 28, 2021 5,343   5,343  
2020 Restructuring Plan | Employee Severance and Benefit Costs        
Restructuring Reserve [Roll Forward]        
Balance as of August 31, 2020     8,143  
Restructuring related charges     2,322  
Asset write-off charge and other non-cash activity     (9)  
Cash payments     (6,395)  
Balance as of February 28, 2021 4,061   4,061  
2020 Restructuring Plan | Lease Costs        
Restructuring Reserve [Roll Forward]        
Balance as of August 31, 2020     2,316  
Restructuring related charges     (2,873)  
Asset write-off charge and other non-cash activity     1,554  
Cash payments     (113)  
Balance as of February 28, 2021 884   884  
2020 Restructuring Plan | Asset Write-off Costs        
Restructuring Reserve [Roll Forward]        
Balance as of August 31, 2020     0  
Restructuring related charges     4,344  
Asset write-off charge and other non-cash activity     (4,344)  
Cash payments     0  
Balance as of February 28, 2021 0   0  
2020 Restructuring Plan | Other Related Costs        
Restructuring Reserve [Roll Forward]        
Balance as of August 31, 2020     426  
Restructuring related charges     599  
Asset write-off charge and other non-cash activity     2  
Cash payments     (629)  
Balance as of February 28, 2021 $ 398   $ 398