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Fair Value (Tables)
6 Months Ended
Jul. 28, 2024
Fair Value [Abstract]  
Amortized Cost, Fair Value, and Corresponding Amount of Gross Unrealized Gains and Losses Recognized in AOCI of Available-for-Sale Security

July 28, 2024

Cost or

Gross

Gross

Amortized

Unrealized

Unrealized

Estimated

Cost

Gains

Losses

Fair Value

(in thousands)

Level 1 security:

Money market funds

$

5,009

$

$

$

5,009

Level 3 security:

Corporate trust

$

5,459

$

$

(582)

$

4,877

January 28, 2024

Cost or

Gross

Gross

Amortized

Unrealized

Unrealized

Estimated

Cost

Gains

Losses

Fair Value

(in thousands)

Level 1 security:

Money market funds

$

28,396

$

$

$

28,396

Level 3 security:

Corporate trust

$

5,556

$

$

(570)

$

4,986

Future Principal Receipts Related to Available-For-Sale Security by Contractual Maturity

Amortized

Estimated

Cost

Fair Value

(in thousands)

Within one year

$

209

$

169

After one year through five years

1,378

1,174

After five years through ten years

2,062

1,858

After ten years

1,810

1,676

Total

$

5,459

$

4,877

Carrying Values and Fair Values of Other Financial Instruments in Consolidated Balance Sheets

July 28, 2024

January 28, 2024

Carrying Amount

Fair Value

Carrying Amount

Fair Value

(in thousands)

TRI Long-term debt, including short-term portion

$

25,611

$

23,036

$

25,988

$

23,554