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Debt (Tables)
12 Months Ended
Aug. 01, 2025
0.625% Convertible Senior Notes Due 2026  
Debt  
Schedule of outstanding principal amount and carrying value of the Notes

    

August 01, 2025

    

August 02, 2024

Liability component

Principal

$

150,000

$

300,000

Less: Debt issuance costs

 

822

 

3,419

Net carrying amount

$

149,178

$

296,581

Summary of interest expense for the Notes

2025

    

2024

    

2023

Coupon interest

$

1,679

$

1,932

$

1,896

Amortization of issuance costs

 

1,658

 

1,752

 

1,730

Total interest expense

$

3,337

$

3,684

$

3,626

1.75% Convertible Senior Notes Due 2030  
Debt  
Schedule of outstanding principal amount and carrying value of the Notes

    

August 01, 2025

Liability component

Principal

$

345,000

Less: Debt issuance costs

 

9,543

Net carrying amount

$

335,457

Summary of interest expense for the Notes

2025

Coupon interest

$

755

Amortization of issuance costs

 

219

Total interest expense

$

974