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Debt (Tables)
12 Months Ended
Jul. 28, 2023
Debt [Abstract]  
Outstanding Principal Amount and Carrying Value of the Notes

The following table includes the outstanding principal amount and carrying value of the Notes as of the period indicated:

 
  July 28, 2023    
July 29, 2022
 
Liability component
           
Principal
  $ 300,000    
$
300,000
 
Less: Debt issuance costs
    5,171      
6,901
 
Net carrying amount
  $
294,829     $
293,099
 
Summary of Interest Expense

The effective rate of the Notes over their expected life is 1.23%. The following is a summary of interest expense for the Notes for the year ended July 28, 2023 and July 29, 2022:
 

 
Year Ended
July 28, 2023
   
Year Ended
July 29, 2022
 
Coupon interest
 
$
1,896
    $
1,896  
Amortization of issuance costs
   
1,730
      1,755  
Total interest expense
 
$
3,626
    $
3,651