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CONSOLIDATED BALANCE SHEETS - USD ($)
Nov. 02, 2025
Apr. 27, 2025
Oct. 27, 2024
Current assets:      
Cash and cash equivalents $ 10,728,000 $ 5,629,000 [1] $ 10,531,000
Short-term investments - rabbi trust 1,415,000 1,325,000 [1] 919,000
Accounts receivable, net 20,642,000 21,844,000 [1] 22,330,000
Inventories 49,941,000 49,309,000 [1] 45,132,000
Short-term notes receivable 5,017,000 280,000 [1] 522,000
Current income taxes receivable     979,000
Assets held for sale 124,000 2,177,000 [1] 3,301,000
Other current assets 2,493,000 2,970,000 [1] 3,187,000
Total current assets 90,360,000 83,534,000 [1] 86,901,000
Property, plant and equipment, net 22,388,000 24,836,000 [1] 26,510,000
Right of use assets 4,024,000 5,908,000 [1] 4,239,000
Intangible assets 771,000 960,000 [1] 1,688,000
Long-term investments - rabbi trust 5,637,000 5,722,000 [1] 7,105,000
Long-term notes receivable 1,011,000 1,182,000 [1] 1,324,000
Deferred income taxes 465,000 637,000 [1] 559,000
Other assets 593,000 591,000 [1] 661,000
Total assets 125,249,000 123,370,000 [1] 128,987,000
Current liabilities:      
Lines of credit - current 11,257,000 8,114,000 [1] 4,074,000
Accounts payable - trade 29,663,000 27,323,000 [1] 32,373,000
Accounts payable - capital expenditures 38,000 23,000 [1] 602,000
Operating lease liability - current 1,609,000 2,394,000 [1] 1,108,000
Deferred compensation - current 1,415,000 1,325,000 [1] 919,000
Deferred revenue 889,000 422,000 [1] 1,129,000
Accrued expenses 5,203,000 5,333,000 [1] 6,196,000
Accrued restructuring 283,000 610,000 [1] 863,000
Income taxes payable - current 899,000 1,420,000 [1] 1,165,000
Total current liabilities 51,256,000 46,964,000 [1] 48,429,000
Line of credit - long-term 7,025,000 4,600,000 [1]  
Operating lease liability - long-term 1,477,000 2,535,000 [1] 1,958,000
Income taxes payable - long-term 845,000 790,000 [1] 1,378,000
Deferred income taxes 5,395,000 5,155,000 [1] 6,624,000
Deferred compensation - long-term 5,664,000 5,686,000 [1] 6,975,000
Total liabilities 71,662,000 65,730,000 [1] 65,364,000
Commitments and Contingencies (Notes 11, 17, and 18)
Shareholders' equity      
Preferred stock, $0.05 par value, authorized 10,000,000
Common stock, $0.05 par value, authorized 40,000,000 shares, issued and outstanding 12,662,784 at November 2, 2025; 12,559,129 at October 27, 2024 and 12,559,129 at April 27, 2025 633,000 628,000 [1] 628,000
Capital contributed in excess of par value 45,841,000 45,589,000 [1] 45,303,000
Accumulated earnings 6,736,000 11,273,000 [1] 17,471,000
Accumulated other comprehensive income 377,000 150,000 [1] 221,000
Total shareholders' equity 53,587,000 57,640,000 [1] 63,623,000
Total liabilities and shareholders' equity $ 125,249,000 $ 123,370,000 [1] $ 128,987,000
[1] Derived from audited consolidated financial statements.