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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Mar. 31, 2022
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements
Cash, cash equivalents, and available-for-sale investments were as follows:
As of March 31, 2022Amortized
Costs
Gross
Unrealized
Gain
Gross
Unrealized
Loss
Estimated
Fair Value
Cash and
Cash
Equivalents
Restricted Cash
(Current & Non-current)
Short-Term
Investments
Long-Term
Investments
Cash$70,095 $70,095 $70,095 $— $— $— 
Level 1:
Money market funds12,865 12,865 12,865 — — — 
Treasury securities4,573 (7)4,566 — — 4,566 — 
Subtotal87,533 — (7)87,526 82,960 — 4,566 — 
Level 2:
Certificate of deposit9,509 9,509 — 9,509 — — 
Commercial paper23,950 (34)23,916 7,445 — 16,471 
Corporate debt27,442 (163)27,279 800 — 23,808 2,671 
Subtotal60,901 — (197)60,704 8,245 9,509 40,279 2,671 
Total assets$148,434 $— $(204)$148,230 $91,205 $9,509 $44,845 $2,671 
As of March 31, 2021Amortized
Costs
Gross
Unrealized
Gain
Gross
Unrealized
Loss
Estimated
Fair Value
Cash and
Cash
Equivalents
Restricted Cash
(Current & Non-current)
Short-Term
Investments
Long-Term
Investments
Cash$39,070 $— $— $39,070 $39,070 $— $— $— 
Level 1:
Money market funds67,712 — — 67,712 67,712 — — — 
Treasury securities6,177 17 — 6,194 — — 6,194 — 
Subtotal112,959 17 — 112,976 106,782 — 6,194 — 
Level 2:
Certificate of deposit8,641 — — 8,641 — 8,641 — — 
Commercial paper22,193 — 22,194 5,049 — 17,145 — 
Corporate debt17,656 42 — 17,698 700 — 16,998 — 
Subtotal48,490 43 — 48,533 5,749 8,641 34,143 — 
Total assets$161,449 $60 $— $161,509 $112,531 $8,641 $40,337 $—