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Short-Term Investments (Tables)
9 Months Ended
Oct. 31, 2022
Investments, Debt and Equity Securities [Abstract]  
Schedule of Short-Term Investments
At October 31, 2022, short-term investments consisted of the following (in thousands):
Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Estimated
fair
value
Available-for-sale securities:
Certificates of deposits$68,951 $— $(233)$68,718 
Asset-backed securities425,183 (8,584)416,601 
Commercial paper147,822 — (1,207)146,615 
Corporate notes and bonds1,123,950 51 (28,601)1,095,400 
Foreign government bonds25,714 (691)25,024 
U.S. agency obligations32,992 (837)32,160 
U.S. treasury securities382,388 — (9,510)372,878 
Total available-for-sale securities$2,207,000 $59 $(49,663)$2,157,396 
At January 31, 2022, short-term investments consisted of the following (in thousands):
Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Estimated
fair
value
Available-for-sale securities:
Certificates of deposits$13,500 $— $(15)$13,485 
Asset-backed securities191,676 45 (1,432)190,289 
Commercial paper29,432 — (2)29,430 
Corporate notes and bonds669,489 276 (5,856)663,909 
Foreign government bonds24,577 13 (179)24,411 
U.S. agency obligations27,978 12 (254)27,736 
U.S. treasury securities290,513 46 (1,755)288,804 
Total available-for-sale securities$1,247,165 $392 $(9,493)$1,238,064 
Summary of Estimated Fair Value of Short-Term Investments, Designated as Available-for-Sale and Classified by Contractual Maturity
The following table summarizes the estimated fair value of our short-term investments, designated as available-for-sale and classified by the contractual maturity date of the securities as of the dates shown (in thousands):
October 31,
2022
January 31,
2022
Due in one year or less$874,735 $457,948 
Due in greater than one year1,282,661 780,116 
Total$2,157,396 $1,238,064 
Schedule of Fair Values and Gross Unrealized Loss Position of Available-for-Sale Securities Aggregated by Investment Category
The following table shows the fair values of available-for-sale securities which were in an unrealized loss position, aggregated by investment category, as of October 31, 2022 (in thousands):
Less than 12 months12 months or greater
Fair
value
Gross
unrealized
losses
Fair
value
Gross
unrealized
losses
Certificates of deposits$63,717 $(233)$— $— 
Asset-backed securities335,172 (5,905)67,697 (2,679)
Commercial paper146,615 (1,207)— — 
Corporate notes and bonds809,703 (17,598)258,113 (11,003)
Foreign government bonds11,222 (186)11,711 (505)
U.S. agency obligations11,931 (266)17,223 (571)
U.S. treasury securities277,077 (6,320)95,803 (3,190)
The following table shows the fair values of available-for-sale securities which were in an unrealized loss position, aggregated by investment category, as of January 31, 2022 (in thousands):
Less than 12 months
Fair
value
Gross
unrealized
losses
Certificates of deposits$5,985 $(15)
Asset-backed securities177,056 (1,432)
Commercial paper17,190 (2)
Corporate notes and bonds571,099 (5,856)
Foreign government bonds19,594 (179)
U.S. agency obligations24,725 (254)
U.S. treasury securities247,509 (1,756)