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Fair Value Measurement (Tables)
6 Months Ended
Nov. 01, 2014
Fair Value Disclosures [Abstract]  
Schedule of Fair Value
The following table sets forth by Level within the fair value hierarchy our financial assets and liabilities that were accounted for at fair value on a recurring basis at November 1, 2014 and April 26, 2014 according to the valuation techniques we used to determine their fair values. There have been no transfers of assets or liabilities among the fair value hierarchies presented.
 
Fair Value Measurements
 
Level 1
 
Level 2
 
Total
Balance as of November 1, 2014
 
 
 
 
 
Cash and cash equivalents
$
57,435

 
$

 
$
57,435

Restricted cash
777

 

 
777

Available-for-sale securities:
 

 
 

 
 
Certificates of deposit

 
10,417

 
10,417

U.S. Government securities
1,502

 

 
1,502

U.S. Government sponsored entities

 
7,140

 
7,140

Municipal obligations

 
6,382

 
6,382

Derivatives - currency forward contracts

 
194

 
194

 
$
59,714

 
$
24,133

 
$
83,847

Balance as of April 26, 2014
 

 
 

 
 

Cash and cash equivalents
$
45,054

 
$

 
$
45,054

Restricted cash
514

 

 
514

Available-for-sale securities:
 

 
 

 
 
Certificates of deposit

 
7,734

 
7,734

U.S. Government securities
2,002

 

 
2,002

U.S. Government sponsored entities

 
8,341

 
8,341

Municipal obligations

 
7,321

 
7,321

Derivatives - currency forward contracts

 
(85
)
 
(85
)
 
$
47,570

 
$
23,311

 
$
70,881