XML 37 R27.htm IDEA: XBRL DOCUMENT v3.3.1.900
FINANCING ARRANGEMENTS (Tables)
9 Months Ended
Nov. 30, 2015
FINANCING ARRANGEMENTS [Abstract]  
Schedule of Balances Attributable to the Notes
Liability component:     
Principal $       172,500 

Less: Unamortized debt discount


  (30,509)
          Unamortized debt issuance costs
  (3,890)
Net carrying amount of the Notes $ 138,101 
Schedule of Contractual Cash Obligations
  Future Estimated Cash Payments Due by Fiscal Year     
  2016                                      
  (remainder)     2017    2018   2019   2020   Thereafter   Total
Convertible senior notes principal   $  -   $ -   $ -   $  -   $  -   $ 172,500   $ 172,500
Convertible senior notes stated interest   -   2,803   2,803   2,803   2,803   1,402   12,614
Operating leases   491   2,308   1,937   1,569   890   162   7,357
Purchase obligations     48,691     -     -     -     -     -     48,691
Other contractual commitments   -   4,510   1,503   -   -   -   6,013
Total contractual obligations   $ 49,182   $ 9,621   $ 6,243   $ 4,372   $ 3,693   $ 174,064   $ 247,175