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OTHER FINANCIAL INFORMATION (Tables)
3 Months Ended
May 31, 2016
OTHER FINANCIAL INFORMATION [Abstract]  
Schedule of Supplemental Balance Sheet Information
May 31, February 29,
      2016       2016
Deferred compensation plan liability $ 4,725   $ 3,392
Deferred revenue 5,734   1,070
Deferred rent     505 559
Acquisition-related contingent consideration 556 530
Other 1,104 -
$        12,624 $ 5,551
Schedule of Investment income (loss)
Three Months Ended
May 31,
       2016        2015
Investment income (loss) on cash equivalents and marketable securities $ 176   $ (4 )
Investment income on Rabbi Trust assets   277   32  
Total investment income $            453 $               28
Schedule of Interest expense
Three Months Ended
May 31,
       2016        2015
Interest expense on convertible senior unsecured notes:
       Stated interest at 1.625% per annum   $ 701 $ 181
       Amortization of note discount 1,507   383
       Amortization of debt issue costs 192 48
     2,400   612
Other interest expense 24 36
Total interest expense $ 2,424 $ 648
Schedule of Supplemental Cash Flow Information
Three Months Ended
  May 31,
      2016       2015
Interest expense paid $         1,449 $              38
Income tax paid $ 67 $ 49
Schedule of Supplemental Non-Cash Investing and Financing Activities
Three Months Ended
  May 31,
      2016       2015
Acquisition of Crashboxx in April 2015:        
       Accrued liability for earn-out consideration $              - $              455