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Supplemental Balance Sheet (Details) - USD ($)
$ in Thousands
May 31, 2026
Aug. 31, 2025
Other current assets    
Derivative assets (Note 11) $ 315,288 $ 177,231
Margin and related deposits 276,569 183,817
Prepaid expenses 224,515 204,826
Supplier advance payments 252,668 104,866
Restricted cash 113,237 71,434
Other 114,984 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 payments 368,085 233,804
Derivative liabilities (Note 11) 533,253 178,017
Dividends and equity payable 156,804 120,000
Total other current liabilities $ 1,198,728 $ 625,969