v3.26.1
CONSOLIDATED BALANCE SHEETS - USD ($)
Aug. 02, 2026
May 03, 2026
Aug. 03, 2025
Current assets      
Cash and cash equivalents $ 10,235,000 $ 8,273,000 [1] $ 11,094,000
Short-term investments - rabbi trust 1,524,000 1,477,000 [1] 1,395,000
Accounts receivable, net 20,275,000 20,369,000 [1] 18,382,000
Inventories 42,253,000 47,494,000 [1] 50,109,000
Short-term notes receivable 328,000 297,000 [1] 5,104,000
Current income taxes receivable [1]   142,000  
Assets held for sale 0 0 40,000
Other current assets 4,138,000 2,645,000 [1] 2,767,000
Total current assets 78,753,000 80,697,000 [1] 88,891,000
Property, plant & equipment, net 20,188,000 21,013,000 [1] 23,552,000
Right of use assets 2,642,000 2,984,000 [1] 5,162,000
Intangible assets 323,000 355,000 [1] 865,000
Long-term investments - rabbi trust 4,757,000 4,991,000 [1] 5,715,000
Long-term notes receivable 788,000 885,000 [1] 1,078,000
Deferred income taxes 507,000 503,000 [1] 475,000
Other assets 528,000 562,000 [1] 676,000
Total assets 108,486,000 111,990,000 [1] 126,414,000
Current liabilities      
Lines of credit - current 13,324,000 12,129,000 [1] 11,120,000
Accounts payable - trade 22,488,000 25,730,000 [1] 24,319,000
Accounts payable - capital expenditures 8,000 236,000 [1] 8,000
Operating lease liability - current 765,000 956,000 [1] 2,209,000
Deferred compensation - current 1,524,000 1,477,000 [1] 1,395,000
Deferred revenue 203,000 281,000 [1] 485,000
Accrued expenses 4,946,000 4,103,000 [1] 5,850,000
Accrued restructuring 10,000 47,000 [1] 105,000
Income taxes payable - current 209,000   2,412,000
Total current liabilities 43,477,000 44,959,000 [1] 47,903,000
Line of credit - long-term   7,000,000 [1] 7,025,000
Operating lease liability - long-term 916,000 1,027,000 [1] 1,995,000
Income taxes payable - long-term 1,048,000 983,000 [1] 841,000
Deferred income taxes 4,044,000 4,883,000 [1] 5,302,000
Deferred compensation - long-term 4,800,000 4,991,000 [1] 5,701,000
Total liabilities 54,285,000 63,843,000 [1] 68,767,000
Commitments and Contingencies (Notes 11, 17, and 18)
Shareholders' equity      
Preferred stock, $0.05 par value, authorized 10,000,000 shares, no shares issued and outstanding as of August 2, 2026, August 3, 2025, and May 3, 2026
Common stock, $0.05 par value, authorized 40,000,000 shares, issued and outstanding 12,720,717 at August 2, 2026; 12,605,306 at August 3, 2025 and 12,662,784 at May 3, 2026 636,000 633,000 [1] 630,000
Capital contributed in excess of par value 46,177,000 46,133,000 [1] 45,683,000
Accumulated earnings 7,043,000 1,062,000 [1] 11,042,000
Accumulated other comprehensive income 345,000 319,000 [1] 292,000
Total shareholders' equity 54,201,000 48,147,000 [1] 57,647,000
Total liabilities and shareholders' equity $ 108,486,000 $ 111,990,000 [1] $ 126,414,000
[1] Derived from audited consolidated financial statements.