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RESTRUCTURING (Tables)
12 Months Ended
Aug. 02, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Related Charges
The components of total restructuring charges were as follows:
For the Fiscal Year Ended
(in thousands)August 2, 2025August 3, 2024July 29, 2023
Cash restructuring charges:
Severance and employee-related benefits (1)
$1,163 $10,065 $18,142 
Lease terminations (1)
— 1,466 — 
Other (1)
58 3,090 722 
Non-cash restructuring charges:
Asset impairments (1) (2)
— 19,283 16,874 
Accelerated depreciation (1)
— 9,021 2,805 
Other (1)
— 913 1,364 
Total restructuring (1)
$1,221 $43,838 $39,907 
(1) Recorded in selling, general, and administrative expenses.
(2) Includes impairments of both operating lease right-of-use assets and property and equipment.

The following table provides the changes in the Company’s restructuring related liabilities, which are included within accounts payable and accrued liabilities on the consolidated balance sheets:
(in thousands)Severance and Employee Related Benefits and Other
Balance at July 29, 2023
$1,923 
Charges incurred14,621 
Cash payments(13,284)
Balance at August 3, 2024
$3,260 
Charges incurred1,221 
Cash payments(4,481)
Balance at August 2, 2025
$—