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Short-Term Investment Reconciliation - (Tables)
12 Months Ended
Jan. 29, 2022
Investments, Debt and Equity Securities [Abstract]  
Schedule Of Available For Sale Securities Reconciliation to Fair Value
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January 29, 2022
January 30, 2021
Debt securities
Debt securities
issued by the U.S
issued by the U.S
Government, its various
Government, its various
States, municipalities
Corporate
States, municipalities
Corporate
and agencies
debt
and agencies
debt
of each
securities
Total
of each
securities
Total
Cost basis
$
50,554
$
96,352
$
146,906
$
40,701
$
85,045
$
125,746
Unrealized gains
-
-
-
422
654
1,076
Unrealized (loss)
(388)
(520)
(908)
-
-
-
Estimated fair value
$
50,166
$
95,832
$
145,998
$
41,123
$
85,699
$
126,822