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Summary Of Accounting Policies (Tables)
9 Months Ended
Dec. 31, 2011
Summary Of Accounting Policies [Abstract]  
Schedule Of Cash And Cash Equivalents
         
    As of   As of
    December 31, 2011   March 31, 2011
    (In thousands)
Cash and bank balances $ 1,161,894 $ 1,372,711
Money market funds and time deposits   383,871   375,760
  $ 1,545,765 $ 1,748,471
Components Of Inventories
         
    As of   As of
    December 31, 2011   March 31, 2011
    (In thousands)
Raw materials $ 2,163,079 $ 2,271,944
Work-in-progress   626,132   579,047
Finished goods   805,128   699,295
  $ 3,594,339 $ 3,550,286
Schedule Of Goodwill
Components Of Acquired Intangible Assets
                             
    As of December 31, 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 $ 305,103 $ (242,111 ) $ 62,992 $ 378,412 $ (283,732 ) $ 94,680
Licenses and other intangibles   32,697   (12,370 )   20,327   44,915   (19,719 )   25,196
Total $ 337,800 $ (254,481 ) $ 83,319 $ 423,327 $ (303,451 ) $ 119,876
Schedule Of Estimated Future Annual Amortization Expense For Acquired Intangible Assets