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Investment Securities (Tables)
3 Months Ended
Sep. 02, 2023
Investments Securities [Abstract]  
Schedule Of Investment Securities
September 2, 2023
Amortized
Cost
Unrealized
 
Gains
Unrealized
Losses
Estimated
 
Fair Value
Municipal bonds
$
7,915
$
$
150
$
7,765
Commercial paper
8,913
15
8,898
Corporate bonds
128,031
1,090
126,941
Certificates of deposits
1,125
8
1,117
US government and agency obligations
94,584
320
94,264
Asset backed securities
10,683
49
10,634
Total current investment securities
$
251,251
$
$
1,632
$
249,619
Mutual funds
$
2,181
$
$
53
$
2,128
Total noncurrent investment securities
$
2,181
$
$
53
$
2,128
June 3, 2023
Amortized
 
Cost
Unrealized
 
Gains
Unrealized
Losses
Estimated
 
Fair Value
Municipal bonds
$
16,571
$
$
275
$
16,296
Commercial paper
56,486
77
56,409
Corporate bonds
139,979
1,402
138,577
Certificates of deposits
675
675
US government and agency obligations
101,240
471
100,769
Asset backed securities
13,459
151
13,308
Treasury bills
29,069
13
29,056
Total current investment securities
$
357,479
$
$
2,389
$
355,090
Mutual funds
$
2,172
$
$
91
$
2,081
Total noncurrent investment securities
$
2,172
$
$
91
$
2,081
Schedule Of Contractual Maturities Of Investment Securities
Estimated Fair Value
Within one year
$
175,963
1-5 years
73,656
Total
$
249,619