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Fair Value Measurements (Tables)
6 Months Ended
Jul. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Assets and Liabilities Measured on Recurring Basis
The following table summarizes, for assets measured at fair value, the respective fair value and classification by level of input within the fair value hierarchy (in thousands):
As of July 31, 2025
Level 1Level 2Level 3Total
Current Assets
Cash equivalents
Money market funds$88,604 $— $— $88,604 
Commercial paper— 2,481 — 2,481 
Total cash equivalents$88,604 $2,481 $— $91,085 
Marketable securities
U.S. Treasury securities$155,120 $— $— $155,120 
Commercial paper— 3,983 — 3,983 
Corporate bonds— 101,973 — 101,973 
U.S. agency bonds— 29,998 — 29,998 
Total marketable securities$155,120 $135,954 $— $291,074 
Total assets$243,724 $138,435 $— $382,159 
As of January 31, 2025
Level 1Level 2Level 3Total
Current Assets
Cash equivalents
Money market funds$88,251 $— $— $88,251 
Total cash equivalents$88,251 $— $— $88,251 
Marketable securities
U.S. Treasury securities$155,166 $— $— $155,166 
Corporate bonds— 106,009 — 106,009 
U.S. agency bonds— 20,981 — 20,981 
Total marketable securities$155,166 $126,990 $— $282,156 
Total assets$243,417 $126,990 $— $370,407 
Schedule of Investments in Marketable Securities
The following table summarizes the Company's investments in marketable securities on the condensed consolidated balance sheets (in thousands):
As of July 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross Unrealized LossesEstimated
Fair Value
Current Assets
U.S. Treasury securities$154,788 $424 $(92)$155,120 
Commercial paper3,983 — — 3,983 
Corporate bonds101,520 457 (4)101,973 
U.S. agency bonds29,991 — 29,998 
Total marketable securities$290,282 $888 $(96)$291,074 
As of January 31, 2025
Amortized
Cost
Gross
Unrealized
Gains
Gross Unrealized Losses
Estimated
Fair Value
Current Assets
U.S. Treasury securities$155,017 $254 $(105)$155,166 
Corporate bonds105,532 487 (10)106,009 
U.S. agency bonds20,935 52 (6)20,981 
Total marketable securities$281,484 $793 $(121)$282,156 
Schedule of Contractual Maturities
The following table presents the contractual maturities of the Company’s marketable securities as of July 31, 2025 (in thousands):
As of July 31, 2025
Amortized CostEstimated Fair Value
Due within one year$99,812 $99,883 
Due within one to three years190,470 191,191 
Total$290,282 $291,074