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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jul. 31, 2023
Fair Value of Financial Instruments [Abstract]  
Schedule of carrying values and estimated fair values of debt instruments

The following table summarizes the carrying values and the estimated fair values of the Company’s debt instruments:

Carrying Value

Fair Value

    

July 31,

July 31,

January 31,

    

July 31,

July 31,

January 31,

Financial Instrument

Level

2023

2022

2023

2023

2022

2023

(In thousands)

Secured Notes

1

$

400,000

$

400,000

$

400,000

$

393,000

$

394,000

$

380,000

Revolving credit facility

2

51,614

80,087

51,614

80,087

Note issued to LVMH

3

49,105

117,665

121,202

48,391

114,796

119,426

Unsecured loans

2

9,913

7,969

10,866

9,913

7,969

10,866

Overdraft facilities

2

2,202

3,233

3,657

2,202

3,233

3,657

Foreign credit facility

2

8,213

391

7,792

8,213

391

7,792