v3.26.1
Fair Value Measurements (Tables)
12 Months Ended
Apr. 25, 2026
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Hierarchy for Assets and Liabilities Measured at Fair Value on Recurring Basis
The following table presents the fair value hierarchy for those assets and liabilities we measured at fair value on a recurring basis at April 25, 2026 and April 26, 2025. There were no transfers into or out of Level 1, Level 2, or Level 3 for any of the periods presented.

At April 25, 2026
Fair Value Measurements
(Amounts in thousands)Level 1Level 2Level 3NAV (1)Total
Assets
Marketable securities$— $2,573 $— $9,950 $12,523 
Held-to-maturity investments5,510 — — — 5,510 
Total assets$5,510 $2,573 $— $9,950 $18,033 

At April 26, 2025
Fair Value Measurements
(Amounts in thousands)Level 1Level 2Level 3NAV (1)Total
Assets
Marketable securities$— $2,470 $— $9,824 $12,294 
Held-to-maturity investments2,607 — — — 2,607 
Total assets$2,607 $2,470 $— $9,824 $14,901 
(1)Certain marketable securities investments are measured at fair value using net asset value per share under the practical expedient methodology.