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FAIR VALUE MEASUREMENT OF ASSETS AND LIABILITIES (Tables)
12 Months Ended
Mar. 31, 2013
FAIR VALUE MEASUREMENT OF ASSETS AND LIABILITIES  
Summary of activities related to contingent consideration

 

 
  As of March 31,  
 
  2013   2012  
 
  (In thousands)
 

Beginning balance

  $ 1,151   $ 1,293  

Additions to accrual

    25,000     513  

Payments

    (1,151 )   (655 )
           

Ending balance

  $ 25,000   $ 1,151  
           
Schedule of assumptions used in the fair value of warrants

 

 
  As of
March 31, 2013
 

Remaining life

    5 years  

Volatility

    58 %

Dividend yield

    0 %

Risk-free rate

    0.80 %
Summary of changes in fair value adjustment of warrants

 

 
  Amount  
 
  (In thousands)
 

Balance, March 31, 2012

  $  

Fair value adjustment

    74,437  
       

Balance, March 31, 2013

  $ 74,437  
       
Schedule of financial assets and liabilities measured at fair value on a recurring basis

 

 
  Fair Value Measurements as of March 31, 2013  
 
  Level 1   Level 2   Level 3   Total  
 
  (In thousands)
 

Assets:

                         

Money market funds and time deposits (Note 2)

  $   $ 497,390   $   $ 497,390  

Deferred purchase price receivable (Note 8)

            412,357     412,357  

Foreign exchange forward contracts (Note 7)

        27,563         27,563  

Warrants to purchase common shares (Note 2)

            74,437     74,437  

Deferred compensation plan assets:

                         

Mutual funds, money market accounts and equity securities

    6,931     40,972         47,903  

Liabilities:

                         

Foreign exchange forward contracts (Note 7)

  $   $ (15,290 ) $   $ (15,290 )

Contingent consideration in connection with acquistions

            (25,000 )   (25,000 )


 

 
  Fair Value Measurements as of March 31, 2012  
 
  Level 1   Level 2   Level 3   Total  
 
  (In thousands)
 

Assets:

                         

Money market funds and time deposits (Note 2)

  $   $ 343,906   $   $ 343,906  

Deferred purchase price receivable (Note 8)

            514,895     514,895  

Foreign exchange forward contracts (Note 7)

        20,969         20,969  

Available for sale investments (Note 2)

    5,994             5,994  

Deferred compensation plan assets:

                         

Mutual funds, money market accounts and equity securities

    3,411     54,241         57,652  

Liabilities:

                         

Foreign exchange forward contracts (Note 7)

  $   $ (8,105 ) $   $ (8,105 )

Contingent consideration in connection with acquistions

            (1,151 )   (1,151 )
Schedule of assets measured at fair value on a nonrecurring basis

 

 
  Fair Value Measurements as of March 31, 2013  
 
  Level 1   Level 2   Level 3   Total  
 
  (In thousands)
 

Assets:

                         

Assets held for sale

  $   $ 11,089   $   $ 11,089  

Property and equipment

        25,331         25,331  


 

 
  Fair Value Measurements as of March 31, 2012  
 
  Level 1   Level 2   Level 3   Total  
 
  (In thousands)
 

Assets:

                         

Assets held for sale

  $   $ 16,701   $   $ 16,701  
Schedule of financial liabilities not carried at fair value

 

 
  As of March 31, 2013   As of March 31, 2012    
 
  Carrying
Amount
  Fair
Value
  Carrying
Amount
  Fair
Value
  Fair Value
Hierarchy
 
  (In thousands)
  (In thousands)
   

Revolving credit facility

  $   $   $ 140,000   $ 140,000   Level 2

Term loan dated October 1, 2007

    170,340     170,496     1,179,595     1,171,959   Level 1

Term loan dated October 19, 2011

    517,500     518,794     487,500     482,625   Level 1

4.625% Notes dated February 20, 2013 (due 2020)

    500,000     507,190           Level 1

5.000% Notes dated February 20, 2013 (due 2023)

    500,000     500,000           Level 1

Asia term loans

    375,000     375,343     377,000     374,394   Level 2
                     

Total

  $ 2,062,840   $ 2,071,823   $ 2,184,095   $ 2,168,978