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FAIR VALUE MEASUREMENTS
6 Months Ended
Sep. 30, 2022
Fair Value Disclosures [Abstract]  
FAIR VALUE MEASUREMENTS Fair Value Measurements
The following table presents information about the Company's financial assets, and indicate the fair value hierarchy of the valuation techniques utilized by the Company to determine such fair values:
September 30, 2022
Level ILevel IILevel IIITotal
Corporate debt securities$— $20,100 $— $20,100 
U.S. treasury securities— 12,544 — 12,544 
Certificates of Deposit— 517 — 517 
Total asset measured at fair value (1)
$— $33,161 $— $33,161 
(1) Included within Investment securities in the Consolidated Balance Sheets.

March 31, 2022
Level ILevel IILevel IIITotal
Corporate debt securities$— $87,074 $— $87,074 
U.S. treasury securities— 17,662 — 17,662 
Certificates of Deposit— 516 — 516 
Total asset measured at fair value (1)
$— $105,252 $— $105,252 
(1) Included within Investment securities in the Consolidated Balance Sheets.

The Company had no transfers between fair value levels during the six months ended September 30, 2022.