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Cash, Cash Equivalents and Investments (Tables)
9 Months Ended
Dec. 31, 2014
Cash Cash Equivalents And Investments Tables  
Cash and Cash Equivalents (Tables)

Available-for-sale investments were (in thousands):

            Gross     Gross      
      Amortized     Unrealized     Unrealized     Estimated
As of December 31, 2014     Costs     Gain     Loss     Fair Value
Money market funds   $ 16,821    $   $   $ 16,821 
Fixed income                        
     Mutual funds     2,000          (129)     1,871 
     Commercial paper     22,948              22,952 
     Corporate debt     71,890      47      (22)     71,915 
     Municipal securities     5,435          (7)     5,431 
     Asset backed securities     23,598          (6)     23,594 
     Mortgage backed securities     6,583          (56)     6,527 
     International government securities     800              802 
     Certificates of deposit     2,200          (1)     2,199 
Total available-for-sale investments   $ 152,275    $ 58    $ (221)   $ 152,112 
                         
Reported as (in thousands):                        
     Cash and cash equivalents                     $ 16,821 
     Short-term investments                       135,291 
          Total                     $ 152,112 

 

Contractual maturities of mutual funds, commercial paper, corporate debt, municipal securities, asset backed securities, mortgage backed securities, international government securities, certificates of deposit and money market funds as of December 31, 2014 are set forth below (in thousands):

Due within one year   $ 120,291 
Due after one year     31,821 
     Total   $ 152,112 

 

            Gross     Gross      
      Amortized     Unrealized     Unrealized     Estimated
As of March 31, 2014     Costs     Gain     Loss     Fair Value
Money market funds   $ 32,611    $   $   $ 32,611 
Fixed income                        
     Mutual funds     1,964          (55)     1,909 
     Commercial paper     30,374              30,379 
     Corporate debt     63,621      35      (39)     63,617 
     Municipal securities     5,435          (1)     5,439 
     Asset backed securities     17,049          (1)     17,054 
     International government securities     800              804 
Total available-for-sale investments   $ 151,854    $ 55    $ (96)   $ 151,813 
                         
Reported as (in thousands):                        
     Cash and cash equivalents                     $ 32,611 
     Short-term investments                       47,181 
     Long-term investments                       72,021 
          Total                     $ 151,813 

 

Contractual maturities of mutual funds, commercial paper, corporate debt, municipal securities, asset backed securities, international government securities and money market funds as of March 31, 2014 are set forth below (in thousands):

Due within one year   $ 79,792 
Due after one year     72,021 
     Total   $ 151,813