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Fair Value Measurements (Tables)
9 Months Ended
Nov. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule Of Items Measured At Fair Value On A Recurring Basis
Items Measured at Fair Value on a Recurring Basis
 As of November 30, 2021
(In thousands)Level 1Level 2Total
Assets:   
Money market securities$705,326 $— $705,326 
Mutual fund investments25,650 — 25,650 
Derivative instruments designated as hedges— 10,566 10,566 
Derivative instruments not designated as hedges— 3,671 3,671 
Total assets at fair value$730,976 $14,237 $745,213 
Percent of total assets at fair value98.1  %1.9 %100.0 %
Percent of total assets2.9  %0.1 %2.9 %
Liabilities:   
Derivative instruments designated as hedges$— $(4,561)$(4,561)
Total liabilities at fair value$— $(4,561)$(4,561)
Percent of total liabilities—  %— %— %

 As of February 28, 2021
(In thousands)Level 1Level 2Total
Assets:   
Money market securities$685,585 $— $685,585 
Mutual fund investments24,049 — 24,049 
Derivative instruments designated as hedges— 4,061 4,061 
Derivative instruments not designated as hedges— 501 501 
Total assets at fair value$709,634 $4,562 $714,196 
Percent of total assets at fair value99.4  %0.6  %100.0  %
Percent of total assets3.3  %—  %3.3  %
Liabilities:   
Derivative instruments designated as hedges$— $(6,024)$(6,024)
Total liabilities at fair value$— $(6,024)$(6,024)
Percent of total liabilities—  %— %— %
Schedule of Carrying Values and Estimated Fair Values of Debt Instruments [Table Text Block]
(In thousands)As of November 30, 2021As of February 28, 2021
Carrying value$500,000 $500,000 
Fair value$542,176 $556,993