| PERIOD ENDING | 31-Aug-08 | 31-May-08 | 29-Feb-08 | 30-Nov-07 | | | Assets | | Current Assets | | Cash And Cash Equivalents | 58,243 | 66,224 | 55,675 | 56,640 | | Short Term Investments | 122,652 | 125,471 | 107,971 | 97,627 | | Net Receivables | 472,337 | 469,488 | 453,752 | 454,339 | | Inventory | 615,335 | 609,085 | 606,722 | 602,746 | | Other Current Assets | 18,381 | 12,068 | 14,698 | 16,311 | | | Total Current Assets | 1,286,948 | 1,282,336 | 1,238,818 | 1,227,663 | | Long Term Investments | 50,649 |
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| 45,452 | 44,798 | | Property Plant and Equipment | 987,582 | 974,575 | 968,584 | 949,396 | | Goodwill | 1,320,501 | 1,315,569 | 1,311,089 | 1,277,929 | | Intangible Assets | 173,337 | 152,757 | 190,029 | 193,113 | | Accumulated Amortization |
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| | Other Assets | 7,582 | 83,364 | 8,306 | 6,683 | | Deferred Long Term Asset Charges |
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| | | Total Assets | 3,826,599 | 3,808,601 | 3,762,278 | 3,699,582 | | | Liabilities | | Current Liabilities | | Accounts Payable | 342,906 | 366,172 | 391,333 | 361,864 | | Short/Current Long Term Debt | 957 | 1,070 | 1,342 | 1,324 | | Other Current Liabilities |
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| | | Total Current Liabilities | 343,863 | 367,242 | 392,675 | 363,188 | | Long Term Debt | 949,588 | 942,736 | 964,065 | 947,473 | | Other Liabilities | 118,872 | 120,308 | 117,349 | 120,332 | | Deferred Long Term Liability Charges | 123,425 | 124,184 | 122,726 | 120,961 | | Minority Interest |
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| | Negative Goodwill |
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| | | Total Liabilities | 1,535,748 | 1,554,470 | 1,596,815 | 1,551,954 | | |
Stockholders' Equity
| | Misc Stocks Options Warrants |
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| | Redeemable Preferred Stock |
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| | Preferred Stock |
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| | Common Stock | 129,182 | 129,182 | 128,841 | 128,563 | | Retained Earnings | 2,862,938 | 2,775,376 | 2,694,630 | 2,683,644 | | Treasury Stock | (797,888) | (772,041) | (772,041) | (772,041) | | Capital Surplus | 63,943 | 60,408 | 60,471 | 57,973 | | Other Stockholder Equity | 32,676 | 61,206 | 53,562 | 49,489 | | | Total Stockholder Equity | 2,290,851 | 2,254,131 | 2,165,463 | 2,147,628 | | | Net Tangible Assets | $797,013 | $785,805 | $664,345 | $676,586 |
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