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Variable Interest Entities (Tables)
6 Months Ended
Jul. 29, 2023
Variable Interest Entities  
Schedule of Variable Interest Entities

    

JULY 29,

    

JANUARY 28,

2023

2023

(in thousands)

ASSETS

 

  

 

  

Cash and cash equivalents

$

6,096

$

6,653

Restricted cash(1)

3,538

3,662

Prepaid expense and other current assets

 

5,387

 

3,670

Total current assets

 

15,021

 

13,985

Property and equipment—net(2)

 

228,546

 

187,093

Other non-current assets

214

 

122

Total assets

$

243,781

$

201,200

LIABILITIES

 

  

 

  

Accounts payable and accrued expenses

$

6,541

$

6,685

Other current liabilities

5,609

Total current liabilities

12,150

6,685

Real estate loans(3)

17,902

17,909

Other non-current obligations

963

 

929

Total liabilities

$

31,015

$

25,523

(1)Restricted cash deposits are held in escrow for one Member LLC and represent a portion of the proceeds from the issuance of the Promissory Note (defined below) that are required to be used for tenant allowances specified in a lease agreement between us and the Member LLC.
(2)Includes $46 million and $125 million of construction in progress as of July 29, 2023 and January 28, 2023, respectively.
(3)Real estate loans are secured by the assets of each respective Member LLC and the associated creditors do not have recourse against RH’s general assets.