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CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Common Stock
Additional Paid-in Capital
Accumulated Other Comprehensive Loss
Retained Earnings
Non-controlling Interests
Beginning Balance at Apr. 30, 2022 $ 1,042,635 $ 968 $ 200,520 $ (81,516) $ 921,704 $ 959
Beginning Balance (in shares) at Apr. 30, 2022   96,762,000        
Foreign currency translation (4,991)     (4,991)    
Cash flow hedges 261     261    
Net income (loss) 24,260       24,590 (330)
Dividends declared (25,667)       (25,667)  
Common stock issued (2,142) $ 6 (2,148)      
Common stock issued and related tax benefits (in shares)   653,000        
Repurchases of common stock (15,000) $ (5)     (14,995)  
Repurchases of common stock (in shares)   (516,000)        
Stock-based compensation 7,159   7,159      
Contribution from noncontrolling interest 500         500
Ending Balance at Jul. 30, 2022 1,027,015 $ 969 205,531 (86,246) 905,632 1,129
Ending Balance (in shares) at Jul. 30, 2022   96,899,000        
Beginning Balance at Apr. 30, 2022 1,042,635 $ 968 200,520 (81,516) 921,704 959
Beginning Balance (in shares) at Apr. 30, 2022   96,762,000        
Foreign currency translation (8,385)          
Cash flow hedges 782          
Net income (loss) 131,756          
Ending Balance at Jan. 28, 2023 1,102,421 $ 977 226,525 (89,119) 962,915 1,123
Ending Balance (in shares) at Jan. 28, 2023   97,708,000        
Beginning Balance at Jul. 30, 2022 1,027,015 $ 969 205,531 (86,246) 905,632 1,129
Beginning Balance (in shares) at Jul. 30, 2022   96,899,000        
Foreign currency translation (17,591)     (17,591)    
Cash flow hedges 260     260    
Net income (loss) 53,649       54,073 (424)
Dividends declared (25,138)       (25,138)  
Common stock issued 2,179 $ 1 2,178      
Common stock issued and related tax benefits (in shares)   150,000        
Stock-based compensation 1,234   1,234      
Contribution from noncontrolling interest 500         500
Ending Balance at Oct. 29, 2022 1,042,108 $ 970 208,943 (103,577) 934,567 1,205
Ending Balance (in shares) at Oct. 29, 2022   97,049,000        
Foreign currency translation 14,197     14,197    
Cash flow hedges 261     261    
Net income (loss) 53,847       53,929 (82)
Dividends declared (25,581)       (25,581)  
Common stock issued 14,633 $ 7 14,626      
Common stock issued and related tax benefits (in shares)   659,000        
Stock-based compensation 2,956   2,956      
Ending Balance at Jan. 28, 2023 1,102,421 $ 977 226,525 (89,119) 962,915 1,123
Ending Balance (in shares) at Jan. 28, 2023   97,708,000        
Foreign currency translation (403)     (403)    
Cash flow hedges 260     260    
Net income (loss) 74,842       74,965 (123)
Dividends declared (25,276)       (25,276)  
Common stock issued 2,989 $ 2 2,987      
Common stock issued and related tax benefits (in shares)   146,000        
Repurchases of common stock (40,492) $ (15)     (40,477)  
Repurchases of common stock (in shares)   (1,504,000)        
Stock-based compensation 4,194   4,194      
Ending Balance at Apr. 29, 2023 $ 1,118,535 $ 964 233,706 (89,262) 972,127 1,000
Ending Balance (in shares) at Apr. 29, 2023 96,350,000 96,350,000        
Foreign currency translation $ 7,368     7,368    
Cash flow hedges 261     261    
Net income (loss) 31,130       31,234 (104)
Dividends declared (25,134)       (25,134)  
Common stock issued 1,574 $ 5 1,569      
Common stock issued and related tax benefits (in shares)   565,000        
Repurchases of common stock (29,508) $ (11)     (29,497)  
Repurchases of common stock (in shares)   (1,109,000)        
Stock-based compensation 7,015   7,015      
Ending Balance at Jul. 29, 2023 1,111,241 $ 958 242,290 (81,633) 948,730 896
Ending Balance (in shares) at Jul. 29, 2023   95,806,000        
Beginning Balance at Apr. 29, 2023 $ 1,118,535 $ 964 233,706 (89,262) 972,127 1,000
Beginning Balance (in shares) at Apr. 29, 2023 96,350,000 96,350,000        
Foreign currency translation $ 2,317          
Cash flow hedges 782          
Net income (loss) 118,578          
Ending Balance at Jan. 27, 2024 $ 972,165 $ 901 253,860 (86,163) 802,884 683
Ending Balance (in shares) at Jan. 27, 2024 90,092,000 90,091,000        
Beginning Balance at Jul. 29, 2023 $ 1,111,241 $ 958 242,290 (81,633) 948,730 896
Beginning Balance (in shares) at Jul. 29, 2023   95,806,000        
Foreign currency translation (17,589)     (17,589)    
Cash flow hedges 260     260    
Net income (loss) 39,855       39,958 (103)
Dividends declared (24,897)       (24,897)  
Common stock issued 3,228 $ 2 3,226      
Common stock issued and related tax benefits (in shares)   180,000        
Repurchases of common stock (61,644) $ (19) (661)   (60,964)  
Repurchases of common stock (in shares)   (1,897,000)        
Stock-based compensation 4,635   4,635      
Ending Balance at Oct. 28, 2023 1,055,089 $ 941 249,490 (98,962) 902,827 793
Ending Balance (in shares) at Oct. 28, 2023   94,089,000        
Foreign currency translation 12,538     12,538    
Cash flow hedges 261     261    
Net income (loss) 47,593       47,703 (110)
Dividends declared (23,591)       (23,591)  
Common stock issued 1,845 $ 1 1,844      
Common stock issued and related tax benefits (in shares)   103,000        
Stock-based compensation 3,745   3,745      
Ending Balance at Jan. 27, 2024 $ 972,165 $ 901 $ 253,860 $ (86,163) $ 802,884 $ 683
Ending Balance (in shares) at Jan. 27, 2024 90,092,000 90,091,000