v3.26.1
Benefit Plans (Tables)
12 Months Ended
Feb. 28, 2026
Defined Benefit Plans and Other Postretirement Benefit Plans Disclosures [Abstract]  
Benefit Plan Information
Benefit Plan Information
 As of February 28
 Pension PlanRestoration PlanTotal
(In thousands)202620252026202520262025
Plan assets$209,763 $206,384 $ $— $209,763 $206,384 
Projected benefit obligation209,823 206,860 8,421 8,565 218,244 215,425 
Funded status recognized$(60)$(476)$(8,421)$(8,565)$(8,481)$(9,041)
Amounts recognized in the consolidated balance sheets:     
Current liability$ $— $(656)$(655)$(656)$(655)
Noncurrent liability(60)(476)(7,765)(7,910)(7,825)(8,386)
Net amount recognized$(60)$(476)$(8,421)$(8,565)$(8,481)$(9,041)
Components Of Net Pension Expense
 
Pension PlanRestoration PlanTotal
(In thousands)202620252024202620252024202620252024
Total net pension (benefit) expense
$(3,658)$(3,496)$(3,842)$447 $445 $452 $(3,211)$(3,051)$(3,390)
Total net actuarial loss (gain) (1)
$3,640$(1,099)$(9,114)$54 $88 $(175)$3,694 $(1,011)$(9,289)
 
(1)    Changes recognized in AOCL
Schedule Of Assumptions Used
Assumptions Used to Determine Benefit Obligations
 As of February 28
 Pension PlanRestoration Plan
 2026202520262025
Discount rate5.50 %5.45 %5.50 %5.45 %
 
Assumptions Used to Determine Net Pension (Benefit) Expense
 As of February 28 or 29
 Pension PlanRestoration Plan
 202620252024202620252024
Discount rate5.45 %5.35 %5.20 %5.45 %5.35 %5.20 %
Expected rate of return on plan assets7.00 %7.00 %7.25 % %— %— %
Schedule Of Fair Value Of Plan Assets
Fair Value of Plan Assets
 As of February 28
(In thousands)20262025
Mutual funds (Level 1):  
Equity securities – international
$ $7,020 
Collective funds (NAV):  
Short-term investments
87,675 2,026 
Equity securities
 33,229 
Fixed income securities
122,088 164,109 
Total$209,763 $206,384