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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Sep. 30, 2020
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities The following tables present the Company's financial assets and liabilities measured on a recurring basis using the fair value hierarchy at September 30, 2020 and March 31, 2020 (in thousands):
Fair Value Measurements at
 September 30, 2020
 Level 1Level 2Level 3Total
ASSETS:
Cash and cash equivalents$415,719 $— $— $415,719 
U.S. government and municipal obligations2,576 1,038 — 3,614 
Commercial paper— 6,595 — 6,595 
Corporate bonds1,918 — — 1,918 
Derivative financial instruments— 151 — 151 
$420,213 $7,784 $— $427,997 
LIABILITIES:
Contingent purchase consideration$— $— $(748)$(748)
$— $— $(748)$(748)
Fair Value Measurements at
 March 31, 2020
 Level 1Level 2Level 3Total
ASSETS:
Cash and cash equivalents$338,489 $— $— $338,489 
U.S. government and municipal obligations31,341 — — 31,341 
Commercial paper— 14,644 — 14,644 
Corporate bonds4,597 — — 4,597 
$374,427 $14,644 $— $389,071 
LIABILITIES:
Contingent purchase consideration$— $— $(1,748)$(1,748)
Derivative financial instruments— (49)— (49)
$— $(49)$(1,748)$(1,797)
Schedule of Reconciliation of Changes in Fair Value of Level III Financial Assets
The following table sets forth a reconciliation of changes in the fair value of the Company's Level 3 financial liabilities for the six months ended September 30, 2020 (in thousands):
Contingent Purchase Consideration
Balance at March 31, 2020$(1,748)
Payments made1,000 
Balance at September 30, 2020$(748)