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Fair Value Measurements
12 Months Ended
Apr. 30, 2022
Fair Value Disclosures [Abstract]  
Fair Value Measurements Fair Value MeasurementsThe Company’s financial instruments consist primarily of cash equivalents, restricted cash, available-for-sale marketable securities, accounts receivable, non-marketable equity securities, and accounts payable. Cash and cash equivalents and available-for-sale marketable securities are reported at their respective fair values on the consolidated balance sheets. Non-marketable equity securities are reported at cost less impairment. The remaining financial instruments are reported on the consolidated balance sheets at amounts that approximate current fair values.
The following table summarizes the types of assets measured at fair value on a recurring basis by level within the fair value hierarchy (in thousands):
As of April 30, 2022As of April 30, 2021
Level 1Level 2Level 3TotalLevel 1Level 2Level 3Total
Cash equivalents:
Money market funds$107,726 $— $— $107,726 $43,401 $— $— $43,401 
Commercial paper— 142,511 — 142,511 — — — — 
Corporate debt securities— 8,884 — 8,884 — — — — 
Certificates of deposit— 3,000 — 3,000 — — — — 
Available-for-sale marketable securities:
U.S. treasury securities— 12,763 — 12,763 — 57,998 — 57,998 
Certificates of deposit— 97,205 — 97,205 — 422,978 — 422,978 
U.S. government agencies securities— 13,890 — 13,890 — — — — 
Commercial paper— 241,132 — 241,132 — 494,676 — 494,676 
Corporate debt securities— 287,729 — 287,729 — 2,368 — 2,368 
Total cash equivalents and available-for-sale marketable securities$107,726 $807,114 $— $914,840 $43,401 $978,020 $— $1,021,421 
The estimated fair value of securities classified as Level 2 financial instruments was determined based on third-party pricing services. The pricing services utilize industry standard valuation models, including both income- and market-based approaches, for which all significant inputs are observable, either directly or indirectly, to estimate fair value. Inputs used for fair value measurement categorized as Level 2 include benchmark yields, reported trades, broker or dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, offers, and reference data including market research publications.