v3.26.1
Cash Flow Information
12 Months Ended
May 02, 2026
Supplemental Cash Flow Information [Abstract]  
Cash Flow Information Cash Flow Information
The changes in operating assets and liabilities consisted of the following:
Year Ended
May 2, 2026April 26, 2025April 27, 2024
(Increase) decrease:
Accounts receivable
$(26,029)$25,161 $(7,733)
Long-term receivables(917)(2,603)620 
Inventories(3,420)32,536 10,859 
Contract assets(25,051)14,721 (9,262)
Prepaid expenses and other current assets(2,667)36 1,086 
Income taxes receivables(2,814)(2,761)(124)
Right of use, investment in affiliates, and other assets(3,773)(1,213)214 
Increase (decrease):
Accounts payable28,681 (14,119)(7,123)
Contract liabilities(1,668)5,596 (22,695)
Accrued expenses2,690 239 10,891 
Warranty obligations(308)(3,835)4,312 
Long-term warranty obligations1,237 1,735 1,075 
Income taxes payable997 (4,485)2,067 
Other payables(2,930)381 1,678 
$(35,972)$51,389 $(14,135)
Supplemental disclosures of cash flow information consisted of the following:
Year Ended
May 2, 2026April 26, 2025April 27, 2024
Cash payments for:
Interest$847 $3,066 $2,858 
Income taxes, net of refunds5,124 17,806 26,452 
Non-cash impairment charges consisted of the following:
Year Ended
May 2, 2026April 26, 2025April 27, 2024
Non-cash impairment charges:
Equity investees impairment$— $— $6,359 
Total non-cash impairment charges$— $— $6,359 
Supplemental schedule of non-cash investing and financing activities consisted of the following:
Year Ended
May 2, 2026April 26, 2025April 27, 2024
Purchases of property and equipment included in accounts payable$630 $2,320 $1,628 
Contributions of common stock under the ESPP1,382 1,192 1,200 
Settlement of convertible note— 64,366 —