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Fair Value Measurements (Tables)
12 Months Ended
Jan. 29, 2022
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets Measured on Recurring Basis
The table below segregates all financial assets and liabilities that are measured at fair value on a recurring basis (at least annually) into the most appropriate level within the fair value hierarchy based on the inputs used to determine the fair value (in thousands):
January 29, 2022January 30, 2021
Level ILevel IILevel IIILevel ILevel IILevel III
Short-term investments$129 $— $— $219 $— $— 
Long-term investments2,352 — — 2,107 — — 
Short-term contingent earnout— — — — — 15,000 
Total$2,481 $— $— $2,326 $— $15,000 
Schedule of Reconciliation of Earnout Balance
The table below are reconciliations of the contingent earnout balance for each period presented (in thousands):
January 29, 2022
(52-Weeks)
January 30,2021
(52-Weeks)
Short-termLong-termShort-termLong-term
Beginning balance$15,000 $— $9,958 $11,099 
Change in valuation— — 3,943 — 
Payment of year one earnout(15,000)— (10,000)— 
Reclassification from long-term, net— — 11,099 (11,099)
Ending balance$— $— $15,000 $—