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Pension (Tables)
12 Months Ended
Apr. 30, 2022
Pension  
Schedule of projected benefit obligation and fair value of plan assets

Projected benefit obligation

$

(3,322)

Fair value of plan assets

 

3,395

Funded status of the plan

$

73

Schedule of change in projected benefit obligation

Pension benefit obligation balance as of May 3, 2021

$

(4,126)

Interest cost

 

(39)

Actuarial gain

179

Benefits paid

176

Foreign currency exchange rate changes

488

Pension benefit obligation balance as of April 30, 2022

$

(3,322)

Schedule of change in plan assets

Fair value of plan assets as of May 3, 2021

$

3,951

Expected return on plan assets

108

Benefits paid

(176)

Foreign currency exchange rate changes

(488)

Fair value of plan assets as of April 30, 2022

$

3,395

Schedule of expected benefits payments

2023

$

161

2024

164

2025

 

165

2026

 

165

2027

166

2028-2032

 

828

Total expected benefit payments

$

1,649

Schedule Net periodic benefit cost (in thousands) is recorded in interest (expense) income, net

Year Ended

April 30,

2022

(In thousands)

Expected return on plan assets

$

108

Interest cost

 

(39)

Actuarial gain

179

Net periodic benefit cost

$

248