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Investments
3 Months Ended
Jul. 26, 2025
Investments, Debt and Equity Securities [Abstract]  
Investments
Note 5: Investments
We have current and long-term investments intended to enhance returns on our cash as well as to fund future obligations of certain retirement plans. Our short-term investments are included in other current assets and our long-term investments are included in other long-term assets on our consolidated balance sheet.

The following summarizes our investments:

(Unaudited, amounts in thousands)7/26/20254/26/2025
Short-term investments:
Marketable securities$46 $10 
Held-to-maturity investments2,680 2,607 
Total short-term investments2,726 2,617 
Long-term investments:
Marketable securities12,630 12,284 
Total investments$15,356 $14,901 
Investments to enhance returns on cash$2,680 $2,607 
Investments to fund compensation/retirement plans12,676 12,294 
Total investments$15,356 $14,901 

The following is a summary of the unrealized gains, unrealized losses, and fair value by investment type:

7/26/20254/26/2025
(Unaudited, amounts in thousands)Gross
Unrealized 
Gains
Gross
Unrealized 
Losses
Fair ValueGross
Unrealized 
Gains
Gross
Unrealized 
Losses
Fair Value
Equity securities$1,055 $— $3,830 $618 $— $3,489 
Fixed income135 (52)6,380 114 (50)6,335 
Other303 (2)5,146 322 (15)5,077 
Total securities$1,493 $(54)$15,356 $1,054 $(65)$14,901 
The following table summarizes sales of marketable securities:

Quarter Ended
(Unaudited, amounts in thousands)7/26/20257/27/2024
Proceeds from sales$216 $7,879 
Gross realized gains94 115 
Gross realized losses— (35)

As of July 26, 2025, we held $6.4 million of fixed income marketable securities, classified as available-for-sale securities, all of which do not have a single contractual maturity date.