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Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Mar. 31, 2019
Cash flows from operating activities      
Net income (loss) $ (30,954,000) $ (5,645,000) $ 3,561,000
Adjustments to reconcile net income (loss) to net cash provided by operating activities:      
Depreciation and amortization 15,878,000 17,065,000 12,060,000
Noncash stock-based compensation 84,833,000 65,888,000 80,487,000
Non-cash change in contingent consideration 0 (3,783,000) 0
Impairment of intangible assets 40,700,000 0 0
Deferred income taxes (92,000) (1,783,000) 164,000
Amortization of deferred commissions cost 18,318,000 17,717,000 17,348,000
Impairment of operating lease assets 1,684,000 2,761,000 0
Changes in operating assets and liabilities:      
Trade accounts receivable (34,622,000) 26,096,000 (24,092,000)
Operating lease assets and liabilities, net (1,157,000) (1,226,000) 0
Other current assets and Other assets 11,887,000 (1,246,000) 11,400,000
Deferred commissions cost (24,095,000) (16,063,000) (18,967,000)
Accounts payable 49,000 (2,474,000) 1,485,000
Accrued liabilities 10,660,000 (1,997,000) 5,075,000
Deferred revenue 31,740,000 (6,230,000) 21,719,000
Other liabilities (874,000) (616,000) (60,000)
Net cash provided by operating activities 123,955,000 88,464,000 110,180,000
Cash flows from investing activities      
Purchase of short-term investments 0 (43,645,000) (130,338,000)
Proceeds from maturity of short-term investments 43,645,000 130,338,000 131,637,000
Purchase of property and equipment (8,176,000) (3,203,000) (6,560,000)
Business combination, net of cash acquired 0 (157,495,000) 0
Net cash provided by (used in) investing activities 35,469,000 (74,005,000) (5,261,000)
Cash flows from financing activities      
Repurchase of common stock (95,259,000) (77,198,000) (132,697,000)
Proceeds from stock-based compensation plans 20,521,000 37,795,000 41,984,000
Net cash used in financing activities (74,738,000) (39,403,000) (90,713,000)
Effects of exchange rate — changes in cash 16,469,000 (6,966,000) (16,998,000)
Net increase (decrease) in cash, cash equivalents and restricted cash 101,155,000 (31,910,000) (2,792,000)
Cash, cash equivalents and restricted cash at beginning of year 296,082,000 327,992,000 330,784,000
Cash, cash equivalents and restricted cash at end of year 397,237,000 296,082,000 327,992,000
Supplemental disclosures of cash flow information      
Income taxes paid $ 2,959,000 $ 6,002,000 $ 11,491,000