XML 60 R20.htm IDEA: XBRL DOCUMENT v2.3.0.15
Summary Of Accounting Policies (Tables)
6 Months Ended
Sep. 30, 2011
Summary Of Accounting Policies [Abstract] 
Cash And Cash Equivalents
       
  As of   As of
  September 30, 2011   March 31, 2011
  (In thousands)
      Cash and bank balances  $               1,191,204    $               1,372,711
      Money market funds and time deposits                      404,505                        375,760
   $               1,595,709  $               1,748,471
Components Of Inventories
  As of   As of  
  September 30, 2011   March 31, 2011  
  (In thousands)  
Raw materials  $               2,317,897    $               2,271,944  
Work-in-progress                      729,594                        579,047  
Finished goods                      818,593                        699,295  
   $               3,866,084    $               3,550,286  
         
         
Schedule Of Goodwill
Components Of Acquired Intangible Assets
                       
  As of September 30, 2011   As of March 31, 2011
  Gross       Net   Gross       Net
  Carrying   Accumulated   Carrying   Carrying   Accumulated   Carrying
  Amount   Amortization   Amount   Amount   Amortization   Amount
  (In thousands)   (In thousands)
Intangible assets:                      
Customer-related intangibles  $      309,113    $    (237,273)    $        71,840    $      378,412    $    (283,732)    $        94,680
Licenses and other intangibles            38,312            (18,189)              20,123              44,915            (19,719)              25,196
Total  $      347,425    $    (255,462)    $        91,963    $      423,327    $    (303,451)    $      119,876
Estimated Future Annual Amortization Expense For Acquired Intangible Assets