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Cash Equivalents, Investments and Strategic Investments (Tables)
6 Months Ended
Jul. 31, 2025
Investments, Debt and Equity Securities [Abstract]  
Schedule of Cash and Cash Equivalents
The following is a summary of the Company’s cash equivalents, short-term investments, and long-term investments on the condensed consolidated balance sheets (in thousands):

July 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair Value
Cash equivalents:
Money market funds$1,320,540 $— $— $1,320,540 
Time deposits115,074 — — 115,074 
U.S. government securities52,853 — (3)52,850 
Corporate notes and bonds10,836 — (2)10,834 
Total cash equivalents1,499,303 — (5)1,499,298 
Investments:
Corporate notes and bonds1,893,404 1,850 (1,189)1,894,065 
U.S. government and agency securities572,230 214 (656)571,788 
Commercial paper135,245 (161)135,091 
Certificates of deposit117,920 42 (14)117,948 
Total investments2,718,799 2,113 (2,020)2,718,892 
Total cash equivalents and investments$4,218,102 $2,113 $(2,025)$4,218,190 
January 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair Value
Cash equivalents:
Money market funds$1,741,089 $— $— $1,741,089 
U.S. government securities388,578 92 — 388,670 
Time deposits113,851 — — 113,851 
Corporate notes and bonds4,466 — — 4,466 
Commercial paper3,064 — — 3,064 
Total cash equivalents2,251,048 92 — 2,251,140 
Investments:
Corporate notes and bonds1,559,893 2,177 (1,520)1,560,550 
U.S. government and agency securities609,937 528 (727)609,738 
Commercial paper307,752 142 (38)307,856 
Certificates of deposit187,112 97 (4)187,205 
Total investments2,664,694 2,944 (2,289)2,665,349 
Total cash equivalents and investments$4,915,742 $3,036 $(2,289)$4,916,489 
Schedule of Debt Securities, Available-for-Sale
The following is a summary of the Company’s cash equivalents, short-term investments, and long-term investments on the condensed consolidated balance sheets (in thousands):

July 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair Value
Cash equivalents:
Money market funds$1,320,540 $— $— $1,320,540 
Time deposits115,074 — — 115,074 
U.S. government securities52,853 — (3)52,850 
Corporate notes and bonds10,836 — (2)10,834 
Total cash equivalents1,499,303 — (5)1,499,298 
Investments:
Corporate notes and bonds1,893,404 1,850 (1,189)1,894,065 
U.S. government and agency securities572,230 214 (656)571,788 
Commercial paper135,245 (161)135,091 
Certificates of deposit117,920 42 (14)117,948 
Total investments2,718,799 2,113 (2,020)2,718,892 
Total cash equivalents and investments$4,218,102 $2,113 $(2,025)$4,218,190 
January 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Estimated
Fair Value
Cash equivalents:
Money market funds$1,741,089 $— $— $1,741,089 
U.S. government securities388,578 92 — 388,670 
Time deposits113,851 — — 113,851 
Corporate notes and bonds4,466 — — 4,466 
Commercial paper3,064 — — 3,064 
Total cash equivalents2,251,048 92 — 2,251,140 
Investments:
Corporate notes and bonds1,559,893 2,177 (1,520)1,560,550 
U.S. government and agency securities609,937 528 (727)609,738 
Commercial paper307,752 142 (38)307,856 
Certificates of deposit187,112 97 (4)187,205 
Total investments2,664,694 2,944 (2,289)2,665,349 
Total cash equivalents and investments$4,915,742 $3,036 $(2,289)$4,916,489 
Schedule of Available For Sale Securities Remaining Contractual Maturity The estimated fair values of available-for-sale marketable debt securities, classified as short-term or long-term investments on the Company’s condensed consolidated balance sheets, by remaining contractual maturity, are as follows (in thousands):
July 31, 2025
Estimated
Fair Value
Due within 1 year$1,705,988 
Due in 1 year to 3 years
1,012,904 
Total$2,718,892 
Schedule of Fair Value Measurements
The following table presents the Company’s strategic investments by type (in thousands):

July 31, 2025January 31, 2025
Equity securities:
Non-marketable equity securities under Measurement Alternative$325,936 $281,158 
Non-marketable equity securities under equity method5,707 5,491 
Marketable equity securities8,385 13,833 
Debt securities:
Non-marketable debt securities11,000 750 
Total strategic investments—included in other assets$351,028 $301,232 
Realized And Unrealized Gain (Loss) On Investments
The following table summarizes the gains and losses associated with the Company’s strategic investments in equity securities (in thousands):

Three Months Ended July 31,Six Months Ended July 31,
2025202420252024
Unrealized losses on non-marketable equity securities under Measurement Alternative:
Impairments$(5,000)$(7,158)$(31,521)$(25,911)
Net unrealized gains (losses) on marketable equity securities
(980)650 (5,448)(3,005)
Net unrealized losses on strategic investments in equity securities
(5,980)(6,508)(36,969)(28,916)
Net realized gains on strategic investments in equity securities sold(1)
400 — 1,704 1,713 
Total—included in other expense, net
$(5,580)$(6,508)$(35,265)$(27,203)
________________
(1)Represents the difference between the sale proceeds and the carrying value of the securities at the beginning of the period or the purchase date, if later.