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Fair Value of Financial Instruments Fair Value Disclosures (Tables)
9 Months Ended
Nov. 01, 2025
Fair Value Disclosures [Abstract]  
Fair Value Measurements of Investments
The following table details the fair value measurements of the Company's instruments as of November 1, 2025 and February 1, 2025 (in thousands):
Level 1Level 2Level 3
November 1, 2025February 1, 2025November 1, 2025February 1, 2025November 1, 2025February 1, 2025
Cash equivalents(1)
$— $15,000 $— $— $— $— 
Contingent consideration related to sale of business(2)
— — — — 2,552 — 
(1) Cash equivalents primarily represent a money market fund that has a maturity of three months or less at the date of purchase. Due to the short maturity, the Company believes the carrying value approximates fair value.
(2) Established during the thirteen weeks ended May 3, 2025. Refer to Note 14 herein for additional information.