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Fair Value Measurements (Tables)
12 Months Ended
Feb. 28, 2025
Fair Value Disclosures [Abstract]  
Fair value assets and liabilities measured on recurring basis
The following tables set forth our financial assets as of February 28, 2025 and February 29, 2024, that we measured at fair value on a recurring basis by level within the fair value hierarchy. Assets measured at fair value are classified in their entirety based on the lowest level of input that is significant to their fair value measurement.
 
Fair Value
as of
February 28, 2025
Fair Value Measurements at February 28, 2025
Using Fair Value Hierarchy
 Level 1Level 2Level 3Valuation
Technique
Assets:
Cash and cash equivalents$279,052 $279,052 $— $— Market
Investments, at fair value
Investment in debt securities$5,029 $— $— $5,029 Income
Investment in equity securities4,883 985 — 3,898 Market/Income
Total investments, at fair value$9,912 $985 $— $8,927 
 
Fair Value
as of
February 29, 2024
Fair Value Measurements at February 29, 2024
Using Fair Value Hierarchy
 Level 1Level 2Level 3Valuation
Technique
Assets:
Cash and cash equivalents$129,977 $129,977 $— $— Market
Investments, at fair value
Investment in debt securities$5,029 $— $— $5,029 Income
Investment in equity securities5,131 1,687 — 3,444 Market/Income
Total investments, at fair value$10,160 $1,687 $— $8,473 
Carrying amounts and fair values of financial instruments
The carrying amounts and fair values of our financial instruments at February 28, 2025 and February 29, 2024, were as follows:
February 28/29,
20252024
AssetsCarrying Amount
of Asset
Fair Value
of Asset
Carrying Amount
of Asset
Fair Value
of Asset
Investments, at fair value(1)
$9,912 $9,912 $10,160 $10,160 
Other investments, net(2)
4,916 4,916 5,079 5,079 
LiabilitiesCarrying Amount
of Liability
Fair Value
of Liability
Carrying Amount
of Liability
Fair Value
of Liability
Credit Facilities$150,000 $150,000 $20,000 $20,000 
Term Financings509,104 513,161 883,451 885,139 
Senior Notes4,350,000 4,387,341 3,850,000 3,738,146