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FAIR VALUE OF FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Sep. 30, 2024
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities Measured at Fair Value
The following table details the fair value measurements within the fair value hierarchy of the Company's financial assets and liabilities at September 30, 2024 and March 31, 2024 that are measured at fair value on a recurring basis (dollars in thousands):
 
September 30, 2024
Cash and Cash EquivalentsShort-Term InvestmentsOther Current AssetsTotal
Cash$25,695 $— $— $25,695 
Level 1:
Money market funds313,251 — — 313,251 
Assets of non-qualified retirement plan— — 16,498 16,498 
U.S. Treasury securities— 1,994 — 1,994 
Certificates of deposit— 7,500 — 7,500 
Total$338,946 $9,494 $16,498 $364,938 
March 31, 2024
Cash and Cash EquivalentsShort-Term InvestmentsOther Current AssetsTotal
Cash$33,224 $— $— $33,224 
Level 1:
Money market funds303,643 — — 303,643 
Assets of non-qualified retirement plan— — 14,284 14,284 
U.S. Treasury securities— 24,545 — 24,545 
Certificates of deposit— 7,500 — 7,500 
Total$336,867 $32,045 $14,284 $383,196