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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Sep. 30, 2017
Fair Value Measurements Tables  
Fair Value Measurements, Recurring and Nonrecurring (Tables)

Cash, cash equivalents, and available-for-sale investments, and contingent consideration were (in thousands):

            Gross     Gross           Cash and      
      Amortized     Unrealized     Unrealized     Estimated     Cash     Short-Term
As of September 30, 2017     Costs     Gain     Loss     Fair Value     Equivalents     Investments
     Cash   $ 20,122    $   $   $ 20,122    $ 20,122    $
Level 1:                                    
     Money market funds     14,448              14,448      14,448     
     Mutual funds     1,828              1,828          1,828 
          Subtotal     36,398              36,398      34,570      1,828 
Level 2:                                    
     Commercial paper     13,554              13,556          13,556 
     Corporate debt     88,578      62      (21)     88,619          88,619 
     International government securities     2,494          (1)     2,493          2,493 
     Asset backed securities     25,988          (8)     25,984          25,984 
          Subtotal     130,614      68      (30)     130,652          130,652 
          Total assets   $ 167,012    $ 68    $ (30)   $ 167,050    $ 34,570    $ 132,480 

 

            Gross     Gross           Cash and      
      Amortized     Unrealized     Unrealized     Estimated     Cash     Short-Term
As of March 31, 2017     Costs     Gain     Loss     Fair Value     Equivalents     Investments
     Cash   $ 29,122    $   $   $ 29,122    $ 29,122    $
Level 1:                                    
     Money market funds     11,908              11,908      11,908     
     Mutual funds     2,000          (194)     1,806          1,806 
          Subtotal     43,030          (194)     42,836      41,030      1,806 
Level 2:                                    
     Commercial paper     19,144              19,152          19,152 
     Corporate debt     83,995      61      (58)     83,998          83,998 
     Asset backed securities     26,906          (22)     26,888          26,888 
     Mortgage backed securities     116          (1)     115          115 
     Agency bond     2,000              2,000          2,000 
          Subtotal     132,161      73      (81)     132,153          132,153 
          Total assets   $ 175,191    $ 73    $ (275)   $ 174,989    $ 41,030    $ 133,959 
Level 3:                                    
     Contingent consideration   $   $   $   $ 148    $   $
          Total liabilities   $   $   $   $ 148    $   $

 

Contractual maturities of investments as of September 30, 2017 are set forth below (in thousands):

      Estimated
      Fair Value
Due within one year   $ 80,612 
Due after one year     51,868 
     Total   $ 132,480