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Supplemental Balance Sheet
9 Months Ended
May 31, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Supplemental Balance Sheet Supplemental Balance Sheet
    Other current assets; property, plant and equipment, net; and other current liabilities as of May 31, 2026, and August 31, 2025, are as follows:
May 31,
2026
August 31,
2025
Other current assets(Dollars in thousands)
Derivative assets (Note 11)$315,288 $177,231 
Margin and related deposits276,569 183,817 
Prepaid expenses224,515 204,826 
Supplier advance payments252,668 104,866 
Restricted cash113,237 71,434 
Other114,984 59,416 
Total other current assets$1,297,261 $801,590 
Property, plant and equipment
Property, plant and equipment$12,429,213 $12,170,231 
Accumulated depreciation(7,018,486)(6,668,937)
Property, plant and equipment, net$5,410,727 $5,501,294 
Other current liabilities
Customer margin deposits and credit balances$140,586 $94,148 
Customer advance payments368,085 233,804 
Derivative liabilities (Note 11)533,253 178,017 
Dividends and equity payable156,804 120,000 
Total other current liabilities$1,198,728 $625,969