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Cash Equivalents and Investments - Schedule of Debt Securities, Available-for-sale, Unrealized Loss Position, Fair Value (Details) - USD ($)
$ in Thousands
Oct. 31, 2022
Jan. 31, 2022
Cash Equivalents, Fair Value    
Less than 12 months, fair value $ 89,807 $ 100,443
12 months or greater, fair value 0 0
Total, fair value 89,807 100,443
Cash Equivalents, Gross Unrealized Losses    
Less than 12 months, accumulated losses (27) (5)
12 months or greater, accumulated losses 0 0
Total, accumulated losses (27) (5)
Investments, Fair Value    
Less than 12 months, fair value 3,056,575 3,416,881
12 months or greater, fair value 840,168 8,935
Total, fair value 3,896,743 3,425,816
Investments, Gross Unrealized Losses    
Less than 12 months, accumulated losses (43,803) (15,558)
12 months or greater, accumulated losses (20,329) (18)
Total, accumulated losses (64,132) (15,576)
Cash Equivalents And Debt Securities, Available-For-Sale [Abstract]    
Less than 12 months, fair value 3,146,382 3,517,324
12 months or greater, fair value 840,168 8,935
Total, fair value 3,986,550 3,526,259
Cash Equivalents And Debt Securities, Available-For-Sale, Unrealized Loss Position, Accumulated Loss [Abstract]    
Less than 12 months, accumulated losses (43,830) (15,563)
12 months or greater, accumulated losses (20,329) (18)
Total, accumulated losses (64,159) (15,581)
Commercial paper    
Cash Equivalents, Fair Value    
Less than 12 months, fair value 89,807 55,819
12 months or greater, fair value 0 0
Total, fair value 89,807 55,819
Cash Equivalents, Gross Unrealized Losses    
Less than 12 months, accumulated losses (27) (2)
12 months or greater, accumulated losses 0 0
Total, accumulated losses (27) (2)
Investments, Fair Value    
Less than 12 months, fair value 738,280 653,827
12 months or greater, fair value 0 0
Total, fair value 738,280 653,827
Investments, Gross Unrealized Losses    
Less than 12 months, accumulated losses (5,121) (821)
12 months or greater, accumulated losses 0 0
Total, accumulated losses (5,121) (821)
U.S. government and agency securities    
Cash Equivalents, Fair Value    
Less than 12 months, fair value   36,995
12 months or greater, fair value   0
Total, fair value   36,995
Cash Equivalents, Gross Unrealized Losses    
Less than 12 months, accumulated losses   (2)
12 months or greater, accumulated losses   0
Total, accumulated losses   (2)
Investments, Fair Value    
Less than 12 months, fair value 455,945 334,980
12 months or greater, fair value 120,697 0
Total, fair value 576,642 334,980
Investments, Gross Unrealized Losses    
Less than 12 months, accumulated losses (10,440) (2,558)
12 months or greater, accumulated losses (5,282) 0
Total, accumulated losses (15,722) (2,558)
Corporate notes and bonds    
Cash Equivalents, Fair Value    
Less than 12 months, fair value   7,629
12 months or greater, fair value   0
Total, fair value   7,629
Cash Equivalents, Gross Unrealized Losses    
Less than 12 months, accumulated losses   (1)
12 months or greater, accumulated losses   0
Total, accumulated losses   (1)
Investments, Fair Value    
Less than 12 months, fair value 1,541,456 2,378,956
12 months or greater, fair value 710,475 8,935
Total, fair value 2,251,931 2,387,891
Investments, Gross Unrealized Losses    
Less than 12 months, accumulated losses (25,874) (12,044)
12 months or greater, accumulated losses (15,042) (18)
Total, accumulated losses (40,916) (12,062)
Certificates of deposit    
Investments, Fair Value    
Less than 12 months, fair value 320,894 49,118
12 months or greater, fair value 8,996 0
Total, fair value 329,890 49,118
Investments, Gross Unrealized Losses    
Less than 12 months, accumulated losses (2,368) (135)
12 months or greater, accumulated losses (5) 0
Total, accumulated losses $ (2,373) $ (135)