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Investments and Fair Value Measurements (Tables)
6 Months Ended
Jul. 31, 2020
Investments, Debt and Equity Securities and Fair Value Disclosures [Abstract]  
Schedule of fair value of financial assets and liabilities that were measured on a recurring basis
The following table sets forth the fair value of our financial assets that were measured on a recurring basis:
 
 July 31, 2020January 31, 2020
(In thousands)Level 1Level 2Level 3TotalLevel 1Level 2Level 3Total
Assets:        
Money market funds$562,134 $ $ $562,134 $138,999 $ $ $138,999 
U.S. treasury securities 532,920  532,920  875,180  875,180 
Corporate bonds 55,853  55,853  124,972  124,972 
Commercial paper     4,994  4,994 
Other  2,000 2,000   2,000 2,000 
Reported as:        
Assets:        
Cash and cash equivalents   $562,134    $147,034 
Investments, current588,773 976,508 
Investments, non-current 2,000 22,603 
Total   $1,152,907    $1,146,145 
Schedule of available-for-sale securities reconciliation The following table presents our available-for-sale investments as of July 31, 2020:
 
(In thousands)Amortized CostUnrealized GainsUnrealized LossesFair Value
Investments, current:
U.S. treasury securities$530,843 $2,077 $ $532,920 
Corporate bonds55,383 470  55,853 
Total available-for-sale investments$586,226 $2,547 $ $588,773 
The following table presents our available-for-sale investments as of January 31, 2020:
 
(In thousands)Amortized CostUnrealized GainsUnrealized LossesFair Value
Cash and cash equivalents:
U.S. treasury securities$8,035 $ $ $8,035 
Investments, current:
U.S. treasury securities866,578 590 (23)867,145 
Corporate bonds103,848 521  104,369 
Commercial paper4,991 3  4,994 
Investments, non-current:
Corporate bonds20,444 159  20,603 
Total available-for-sale investments$1,003,896 $1,273 $(23)$1,005,146 
Schedule of unrealized loss on investments
The following table presents the fair values and unrealized losses of our available-for-sale investments classified by length of time that the securities have been in a continuous unrealized loss position:
 
Less than 12 Months12 Months or GreaterTotal
(In thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
January 31, 2020
U.S. treasury securities$129,149 $(23)$ $ $129,149 $(23)
Corporate bonds7,504    7,504  
Total$136,653 $(23)$ $ $136,653 $(23)
Investments classified by contractual maturity date
The contractual maturities of our investments are as follows:
 
(In thousands)July 31, 2020
Due within one year$588,773 
Total$588,773 
Schedule of equity investments The following table provides a summary of our equity investments:
 
(In thousands)July 31, 2020January 31, 2020
Equity investments without readily determinable fair values$12,744 $10,744 
Equity investments under the equity method of accounting2,909 2,023 
Total$15,653 $12,767