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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Mar. 31, 2020
Fair Value Disclosures [Abstract]  
Segregation of all assets measured at fair value on a recurring basis The table below segregates all assets that are measured at fair value on a recurring basis (which is measured at least annually) into the most appropriate level within the fair value hierarchy based on the inputs used to determine the fair value at the measurement date.
March 31,
2020
Quoted prices
in active markets
for identical
assets (level 1)
Significant other
observable inputs
(level 2)
Significant
unobservable
inputs
(level 3)
Balance Sheet Classification
Money market funds$497,861  $497,861  $—  $—  Cash and cash equivalents
Bank-time deposits313,757  313,757  —  —  Cash and cash equivalents
Commercial paper97,544  —  97,544  —  Cash and cash equivalents
Corporate bonds9,888  —  9,888  —  Cash and cash equivalents
Money market funds 546,604  546,604  —  —  Restricted cash and cash equivalents
Corporate bonds334,631  —  334,631  —  Short-term investments
Bank-time deposits191,000  191,000  —  —  Short-term investments
US Treasuries30,819  30,819  —  —  Short-term investments
Commercial paper87,553  —  87,553  —  Short-term investments
Cross-currency swap11,275  —  11,275  —  Prepaid expenses and other
Money market funds89,124  89,124  —  —  Long-term restricted cash and cash equivalents
Private equity 2,759  —  —  2,759  Other assets
Foreign currency forward contracts(11) —  (11) —  Accrued expenses and other current liabilities
Total recurring fair value measurements, net$2,212,804  $1,669,165  $540,880  $2,759   
March 31,
2019
Quoted prices
in active markets
for identical
assets (level 1)
Significant other
observable inputs
(level 2)
Significant
unobservable
inputs
(level 3)
Balance Sheet Classification
Money market funds$389,936  $389,936  $—  $—  Cash and cash equivalents
Commercial paper39,246  —  39,246  —  Cash and cash equivalents
US Treasuries25,449  25,449  —  —  Cash and cash equivalents
Money market funds565,461  565,461  —  —  Restricted cash
Bank-time deposits387,720  387,720  —  —  Short-term investments
US Treasuries55,634  55,634  —  —  Short-term investments
Commercial paper4,990  —  4,990  —  Short-term investments
Corporate bonds296,141  —  296,141  —  Short-term investments
Cross-currency swap791  —  791  —  Prepaid expenses and other
Private equity1,823  —  —  1,823  Other assets
Foreign currency forward contracts(423) —  (423) —  Accrued expenses and other current liabilities
Total recurring fair value measurements, net$1,766,768  $1,424,200  $340,745  $1,823