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Fair Value Measurements, Cash, Cash Equivalent and Investments (Tables)
12 Months Ended
Feb. 28, 2025
Cash and Cash Equivalents [Abstract]  
Components of Cash, Cash Equivalents and Investments
The components of cash, cash equivalents and investments by fair value level as at February 28, 2025 were as follows:
Cost Basis (1)
Unrealized
Gains
Unrealized
Losses
Fair ValueCash and
Cash
Equivalents
Short-term
Investments
Long-term
Investments
Restricted Cash and Cash Equivalents
Bank balances$223.7 $— $— $223.7 $223.7 $— $— $— 
Other investments23.3 4.9 — 28.2 — — 28.2 — 
247.0 4.9 — 251.9 223.7 — 28.2 — 
Level 1:
Equity securities10.0 — (10.0)— — — — — 
Level 2:
Term deposits, and certificates of deposits39.3 — — 39.3 — 30.1 — 9.2 
Bearer deposit notes10.3 — — 10.3 7.3 3.0 — — 
Commercial paper55.5 — — 55.5 27.8 27.7 — — 
Non-U.S. promissory notes9.8 — — 9.8 7.9 1.9 — — 
Non-U.S. government sponsored enterprise notes9.3 — — 9.3 — 4.9 — 4.4 
Corporate notes/bonds3.5 — — 3.5 — 3.5 — — 
127.7 — — 127.7 43.0 71.1 — 13.6 
Level 3:
Equity investments in private companies30.7 1.2 (1.2)30.7 — — 30.7 — 
$415.4 $6.1 $(11.2)$410.3 $266.7 $71.1 $58.9 $13.6 
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(1) Cost basis for other investments includes the effect of returns of capital and impairment.
The components of cash, cash equivalents and investments by fair value level as at February 29, 2024 were as follows:
Cost Basis (1)
Unrealized
Gains
Unrealized
Losses
Fair ValueCash and
Cash
Equivalents
Short-term
Investments
Long-term
Investments
Restricted Cash and Cash Equivalents
Bank balances$96.2 $— $— $96.2 $96.2 $— $— $— 
Other investments29.6 6.1 — 35.7 — — 35.7 — 
125.8 6.1 — 131.9 96.2 — 35.7 — 
Level 1:
Equity securities10.0 — (10.0)— — — — — 
Level 2:
Term deposits, and certificates of deposits21.5 — — 21.5 — — — 21.5 
Bearer deposit notes53.1 — — 53.1 28.4 24.7 — — 
Commercial paper46.8 — — 46.8 14.7 32.1 — — 
Non-U.S. promissory notes35.4 — — 35.4 30.2 5.2 — — 
U.S. treasury bills9.5 — — 9.5 5.6 — — 3.9 
166.3 — — 166.3 78.9 62.0 — 25.4 
$302.1 $6.1 $(10.0)$298.2 $175.1 $62.0 $35.7 $25.4 
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(1) Cost basis for other investments includes the effect of returns of capital and impairment.
Schedule of Cash and Cash Equivalents
The following table provides a reconciliation of cash, cash equivalents, restricted cash, and restricted cash equivalents as at February 28, 2025, February 29, 2024 and February 28, 2023 from the consolidated balance sheets to the consolidated statements of cash flows:
As at
February 28, 2025February 29, 2024February 28, 2023
Cash and cash equivalents$266.7 $175.1 $295.7 
Restricted cash and cash equivalents13.6 25.4 26.6 
Total cash, cash equivalents, restricted cash, and restricted cash equivalents presented in the consolidated statements of cash flows
$280.3 $200.5 $322.3 
Contractual Maturities of Available-for-Sale Investments
The contractual maturities of available-for-sale investments as at February 28, 2025 and February 29, 2024 were as follows:
As at
February 28, 2025February 29, 2024
Cost BasisFair ValueCost BasisFair Value
Due in one year or less $127.7 $127.7 $166.4 $166.4 
No fixed maturity 10.0 — 10.0 — 
$137.7 $127.7 $176.4 $166.4