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Fair Value (Tables)
12 Months Ended
Feb. 28, 2022
Fair Value Disclosures [Abstract]  
Schedule of the carrying amount and fair value of financial assets and liabilities measured and recorded at fair value The following tables present the carrying amount and fair value of our financial assets and liabilities measured and recorded at fair value on a recurring basis and classified as Level 2 as follows:
Carrying Amount and Fair Value
(in thousands)February 28, 2022February 28, 2021
Assets: 
Cash equivalents (money market accounts)$438 $1,631 
Foreign currency derivatives2,918 33 
Total assets$3,356 $1,664 
Liabilities: 
Interest rate swaps$2,781 $9,941 
Foreign currency derivatives825 6,550 
Total liabilities$3,606 $16,491 
Fair value of long lived assets held-for-sale
The fair value of the long-lived assets held for sale presented in the table below represent the remaining carrying value of the disposal group and was estimated based on current market values less costs to sell. Refer to Note 4 for additional information on assets held for sale.

Fair Value Measurements Fiscal 2021 Asset Impairment Charges
(in thousands)February 28, 2021Level 1Level 2Level 3
Held for sale$39,867 $ $ $39,867 $(8,452)
Total$39,867 $ $ $39,867 $(8,452)