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Fair Value (Tables)
9 Months Ended
Nov. 27, 2020
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
Assets and liabilities measured at fair value as of November 27, 2020 and February 28, 2020 are summarized below:
 November 27, 2020
Fair Value of Financial InstrumentsLevel 1Level 2Level 3Total
Assets:    
Cash and cash equivalents$484.4 $— $— $484.4 
Restricted cash7.3 — — 7.3 
Foreign exchange forward contracts— 3.1 — 3.1 
Auction rate securities— — 2.4 2.4 
 $491.7 $3.1 $2.4 $497.2 
Liabilities:
Foreign exchange forward contracts$— $(0.8)$— $(0.8)
 $— $(0.8)$— $(0.8)
 February 28, 2020
Fair Value of Financial InstrumentsLevel 1Level 2Level 3Total
Assets:    
Cash and cash equivalents$541.0 $— $— $541.0 
Restricted cash6.1 — — 6.1 
Foreign exchange forward contracts— 1.2 — 1.2 
Auction rate securities— — 2.1 2.1 
 $547.1 $1.2 $2.1 $550.4 
Liabilities:    
Foreign exchange forward contracts$— $(0.5)$— $(0.5)
 $— $(0.5)$— $(0.5)
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation
Below is a roll-forward of assets and liabilities measured at fair value using Level 3 inputs for the nine months ended November 27, 2020:
Roll-Forward of Fair Value Using Level 3 InputsAuction Rate Securities
Balance as of February 28, 2020$2.1 
Unrealized gain on investments0.3 
Balance as of November 27, 2020$2.4