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Fair Value Measurements (Tables)
12 Months Ended
Apr. 27, 2024
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Hierarchy
The following table presents the fair value hierarchy for those assets and liabilities we measured at fair value on a recurring basis at April 27, 2024 and April 29, 2023. There were no transfers into or out of Level 1, Level 2, or Level 3 for any of the periods presented.

At April 27, 2024
Fair Value Measurements
(Amounts in thousands)Level 1Level 2Level 3NAV (1)Total
Assets
Marketable securities$— $7,996 $— $10,247 $18,243 
Held-to-maturity investments1,259 — — — 1,259 
Total assets$1,259 $7,996 $— $10,247 $19,502 

At April 29, 2023
Fair Value Measurements
(Amounts in thousands)Level 1Level 2Level 3NAV (1)Total
Assets
Marketable securities$— $16,557 $— $6,995 $23,552 
Held-to-maturity investments1,351 — — — 1,351 
Total assets$1,351 $16,557 $— $6,995 $24,903 
(1)Certain marketable securities investments are measured at fair value using net asset value per share under the practical expedient methodology.
Schedule of Reconciliation of Level 3 Assets
(Amounts in thousands)AssetsLiabilities
Balance at April 30, 2022$10,079 $800 
Purchases237 — 
Settlements— — 
Fair value adjustment(10,316)(800)
Balance at April 29, 2023$— $— 
Schedule of Reconciliation of Level 3 Liabilities
(Amounts in thousands)AssetsLiabilities
Balance at April 30, 2022$10,079 $800 
Purchases237 — 
Settlements— — 
Fair value adjustment(10,316)(800)
Balance at April 29, 2023$— $—