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CASH, CASH EQUIVALENTS AND INVESTMENTS (Tables)
9 Months Ended
Nov. 30, 2015
CASH, CASH EQUIVALENTS AND INVESTMENTS [Abstract]  
Schedule of Cash and Marketable Securities
      Balance Sheet Classification
      of Fair Value
    Unrealized     Cash and   Short-Term  
  Adjusted   Gains   Fair   Cash   Marketable   Other
  Cost   (Losses)   Value   Equivalents   Securities   Assets
Cash   $ 7,005   $ -   $ 7,005 $ 7,005 $ - $ -
Level 1:    
       Commercial paper     73     -     73     73     -     -
       Domestic equities     373     52   425     -     425     -
       Mutual funds (1)   3,564   (38 ) 3,526 - - 3,526
Level 2:    
       Commercial paper   15,970   -   15,970 - 15,970 -
       Repurchase agreements   99,600   - 99,600 99,600 - -
       Certificate of deposit   100,348   (86 ) 100,262 - 100,262 -
Total   $ 226,933   $ (72 ) $ 226,861 $ 106,678 $ 116,657 $ 3,526

      (1)  
The Company has established a non-qualified deferred compensation plan for certain members of management and all non-employee directors. The Company is informally funding its obligations under the deferred compensation plan by purchasing shares in various equity, bond and money market mutual funds that are held in a “Rabbi Trust” and are restricted for payment of obligations to plan participants. See Note 5 for additional information regarding the deferred compensation plan.