v3.25.2
Pension (Tables)
3 Months Ended
Aug. 02, 2025
Pension  
Schedule of projected benefit obligation and fair value of plan assets

The table below includes the projected benefit obligation and fair value of plan assets as of April 30, 2025. The net fair value of plan assets (in thousands) is recorded in other assets on the unaudited condensed consolidated balance sheet.

April 30,

2025

(In thousands)

Projected benefit obligation

$

(3,335)

Fair value of plan assets

 

3,817

Funded status of the plan

$

482

Schedule of expected benefits payments

Expected benefit payments as of April 30, 2025 (in thousands):

2026

$

200

2027

208

2028

 

211

2029

 

213

2030

215

2031-2035

 

1,087

Total expected benefit payments

$

2,134

Schedule net periodic benefit cost (in thousands) is recorded in interest (expense) income, net

Net periodic benefit cost (in thousands) is recorded in interest expense, net.

Three Months Ended

August 2,

July 27,

2025

2024

Expected return on plan assets

$

$

Interest cost

 

31

 

28

Actuarial gain

Net periodic benefit cost

$

31

$

28