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Derivatives and Hedging Activities (Tables)
12 Months Ended
Jan. 29, 2023
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Summary of carrying values of derivative instruments
The Company's foreign currency forward contracts had the following outstanding balances as of January 29, 2023:
January 29, 2023
(in thousands, except number of instruments)Number of InstrumentsSell Notional ValueBuy Notional Value
Sell USD/Buy CAD Forward Contract9$9,965 $13,643 
Sell USD/Buy GBP Forward Contract183,801 £3,406 
Total27
The fair values of the Company's derivative instruments that qualify as cash flow hedges in the Balance Sheets were as follows:
(in thousands)January 29, 2023January 30, 2022
Interest rate swap agreement$6,067 $62 
Foreign currency forward contracts717 — 
Total other current assets$6,784 $62 
Interest rate swap agreement$— $167 
Total other long-term assets$— $167 
Interest rate swap agreement$6,432 $— 
Total other long-term liabilities$6,432 $—