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FINANCING ARRANGEMENTS AND CONTRACTUAL CASH OBLIGATIONS (Tables)
12 Months Ended
Feb. 29, 2016
FINANCING ARRANGEMENTS AND CONTRACTUAL CASH OBLIGATIONS [Abstract]  
Schedule of Balances Attributable to the Notes
Principal       $      172,500
Less: Unamortized debt discount (29,002 )
          Unamortized debt issuance costs (3,698 )
Net carrying amount of the Notes $ 139,800
Schedule of Contractual Cash Obligations
Future Estimated Cash Payments Due by Fiscal Year
      2017       2018       2019       2020       2021       Total
Convertible senior notes principal $      - $      - $      - $      - $      172,500 $      172,500
Convertible senior notes stated interest 2,803 2,803 2,803 2,803 1,402 12,614
Operating leases 2,237 1,867 1,498 819 129 6,550
Purchase obligations 39,768 - - - - 39,768
Other contractual commitments 3,470 - - - - 3,470
Total contractual obligations $ 48,278 $ 4,670 $ 4,301 $ 3,622 $ 174,031 $ 234,902