v3.25.1
Financial Instruments and Risk Management - Narrative (Details) - USD ($)
$ in Millions
12 Months Ended
Feb. 28, 2025
Feb. 29, 2024
Feb. 28, 2023
Foreign Currency Risk and Currency Exchange Uncertainties      
Foreign currency exchange rate net gains (losses) from remeasurement recorded in income tax expense $ 0.7 $ (0.3) $ 0.4
Foreign currency derivatives | Cash flow hedges      
Foreign Currency Risk and Currency Exchange Uncertainties      
Net gain currently reported in accumulated other comprehensive income, to be reclassified into income 2.6    
Line of Credit | Credit Agreement with Bank of America      
Foreign Currency Risk and Currency Exchange Uncertainties      
Long-term debt, gross 921.9    
Fixed rate debt 550.0    
Line of Credit | Prior Credit Agreement with Bank of America      
Foreign Currency Risk and Currency Exchange Uncertainties      
Long-term debt, gross   672.0  
Fixed rate debt   500.0  
SG&A      
Foreign Currency Risk and Currency Exchange Uncertainties      
Net foreign exchange gains (losses), including the impact of currency hedges and currency swaps $ (1.5) $ (0.5) $ (1.7)
Net sales revenue | Geographic concentration | International operations - transactions denominated in foreign currencies      
Foreign Currency Risk and Currency Exchange Uncertainties      
Concentration risk percentage 14.00% 14.00% 13.00%