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Fair Value of Financial Instruments (Tables)
9 Months Ended
Jan. 27, 2019
Fair Value Disclosures [Abstract]  
Schedule of Assets Measured at Fair Value on a Recurring Basis

The following table presents information about assets measured at fair value on a recurring basis:

 

     Fair value measurements at January 27, 2019 using:  
     Quoted prices
in active
markets for
identical assets
     Significant other
observable inputs
     Significant
unobservable
inputs
        

(amounts in thousands) 

   Level 1      Level 2      Level 3      Total  

Assets:

           

Premier Money Market Fund

   $ 6,433        N/A        N/A      $ 6,433  

Growth Allocation Fund

     184        N/A        N/A        184  

Moderate Allocation Fund

     119        N/A        N/A        119  

Other

     98        N/A        N/A        98  

 

     Fair value measurements at January 28, 2018 using:  
     Quoted prices
in active
markets for
identical assets
     Significant other
observable inputs
     Significant
unobservable
inputs
        

(amounts in thousands)

   Level 1      Level 2      Level 3      Total  

Assets:

           

Premier Money Market Fund

   $ 6,287        N/A        N/A      $ 6,287  

Low Duration Bond Fund

     1,085        N/A        N/A        1,085  

Intermediate Term Bond Fund

     759        N/A        N/A        759  

Strategic Income Fund

     628        N/A        N/A        628  

Large Blend Fund

     431        N/A        N/A        431  

Growth Allocation Fund

     171        N/A        N/A        171  

Moderate Allocation Fund

     114        N/A        N/A        114  

Other

     173        N/A        N/A        173  
     Fair value measurements at April 29, 2018 using:  
     Quoted prices
in active
markets for
identical assets
     Significant other
observable inputs
     Significant
unobservable
inputs
        

(amounts in thousands)

   Level 1      Level 2      Level 3      Total  

Assets:

           

Premier Money Market Fund

   $ 6,492        N/A        N/A      $ 6,492  

Low Duration Bond Fund

     1,085        N/A        N/A        1,085  

Intermediate Term Bond Fund

     747        N/A        N/A        747  

Strategic Income Fund

     619        N/A        N/A        619  

Large Blend Fund

     402        N/A        N/A        402  

Growth Allocation Fund

     169        N/A        N/A        169  

Moderate Allocation Fund

     113        N/A        N/A        113  

Other

     150        N/A        N/A        150  

Liabilities:

           

EURO Foreign Currency

           

Cash Flow Hedge

     N/A      $ 55        N/A      $ 55  
Schedule of Assets Measured at Fair Value on a Nonrecurring Basis

At January 27, 2019, we had no assets that were required to be measured at fair value on a nonrecurring basis other than the assets acquired from eLuxury (see note 3) that were acquired at fair value:

 

     Fair value measurements at January 27, 2019 using:  
     Quoted prices in
active markets
for identical
assets
     Significant other
observable inputs
     Significant
unobservable
inputs
        

(amounts in thousands)

   Level 1      Level 2      Level 3      Total  

Assets:

           

Goodwill

     N/A        N/A      $ 13,653      $  13,653  

Tradename

     N/A        N/A        6,549        6,549  

Equipment

     N/A        N/A        2,179        2,179  

Inventory

     N/A        N/A        1,804        1,804  

Liabilities:

           

Contingent Consideration –

           

Earn-Out Obligation

     N/A        N/A      $ 5,781      $ 5,781  

 

 

At April 29, 2018, we had no assets that were required to be measured at fair value on a nonrecurring basis other than the assets acquired from Read (see note 3) that were acquired at fair value:

 

     Fair value measurements at April 29, 2018 using:  
     Quoted prices in
active markets
for identical
assets
     Significant other
observable inputs
     Significant
unobservable
inputs
        

(amounts in thousands)

   Level 1      Level 2      Level 3      Total  

Assets:

           

Customer Relationships

     N/A        N/A      $ 2,247      $  2,247  

Goodwill

     N/A        N/A        2,107        2,107  

Inventory

     N/A        N/A        1,128        1,128  

Tradename

     N/A        N/A        683        683  

Equipment

     N/A        N/A        379        379  

Liabilities:

           

None

     N/A        N/A        N/A        N/A