v3.25.4
Debt (Tables)
3 Months Ended
Aug. 02, 2025
Debt Disclosure [Abstract]  
Schedule of Debt
As of
Maturity Date
August 2, 2025May 3, 2025
Credit FacilityJune 9, 2028$170,000 $103,100 
Total debt$170,000 $103,100 
Balance Sheet classification:
Long-term borrowings$170,000 $103,100 
Total debt$170,000 $103,100 
Schedule of Deferred Financing Costs
The debt issuance costs have been deferred and are presented as noted below in the condensed Consolidated Balance Sheets, and are subsequently amortized ratably over the term of the respective debt.
As of
Balance Sheet Location
Maturity Date/
Amortization Term
August 2, 2025May 3, 2025
Credit Facility - Other noncurrent assets
June 9, 2028$10,681 $11,597 
Total deferred financing costs
$10,681 $11,597 
Schedule of Interest Expense
The following table disaggregates interest expense:
13 weeks ended
August 2, 2025July 27, 2024
Interest Incurred
Credit Facility$2,839 $4,784 
Term Loan— 453 
Total Interest Incurred$2,839 $5,237 
Amortization of Deferred Financing Costs
Credit Facility$916 $2,267 
Term Loan— 150 
Total Amortization of Deferred Financing Costs$916 $2,417 
Interest income
$(10)$(36)
Total Interest Expense, net
$3,745 $7,618