v3.25.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Operating activities:      
Net loss $ (4,478.9) $ (3,744.2) $ (1,124.7)
Adjustments to reconcile net (loss) income to net cash provided by operating activities:      
Amortization and impairment of software development costs and licenses 333.8 292.7 268.3
Stock-based compensation 324.0 335.6 317.8
Noncash lease expense 59.5 61.1 81.7
Amortization and impairment of intangibles 922.6 1,418.9 1,506.7
Depreciation 153.9 135.5 90.3
Goodwill impairment 3,545.2 2,342.1 0.0
Interest expense 167.3 140.6 122.7
Deferred income taxes 139.5 (150.4) (410.8)
Fair value adjustments 6.9 8.6 31.5
Other, net 24.8 30.5 (26.6)
Changes in assets and liabilities, net of effect from purchases of businesses:      
Accounts receivable (105.0) 83.7 106.8
Software development costs and licenses (691.6) (603.4) (492.8)
Prepaid expenses, other current and other non-current assets 11.9 (154.7) 77.2
Deferred revenue 6.8 (11.8) (141.9)
Accounts payable, accrued expenses and other liabilities (465.9) (200.9) (405.1)
Net cash (used in) provided by operating activities (45.2) (16.1) 1.1
Investing activities:      
Change in bank time deposits 12.6 19.8 100.0
Sale and maturities of available-for-sale securities 0.0 146.9 542.0
Divestitures 32.7 0.0 0.0
Purchases of fixed assets (169.4) (141.7) (204.2)
Proceeds from sale of long-term investments 0.0 0.0 20.6
Purchase of long-term investments (21.1) (18.5) (15.7)
Business acquisitions 6.5 (18.1) (3,310.9)
Other (12.8) (16.6) (8.1)
Net cash (used in) provided by investing activities (151.5) (28.2) (2,876.3)
Financing activities:      
Tax payment related to net share settlements on restricted stock awards 0.0 (94.1) (108.1)
Issuance of common stock 77.3 39.4 65.4
Cost of debt (5.4) (10.3) (22.4)
Repayment of debt 0.0 (1,339.6) (200.0)
Settlement of capped calls 0.0 0.0 140.1
Payment for settlement of convertible notes (8.3) 0.0 (1,166.8)
Proceeds from issuance of debt 598.9 1,348.9 3,248.9
Payment of contingent earn-out consideration (12.0) (35.7) (26.8)
Net cash provided by (used in) financing activities 650.5 (91.4) 1,930.3
Effects of foreign currency exchange rates on cash, cash equivalents, and restricted cash and cash equivalents 3.4 3.1 (15.9)
Net change in cash, cash equivalents, and restricted cash and cash equivalents 457.2 (132.6) (960.8)
Cash, cash equivalents, and restricted cash and cash equivalents, beginning of year [1] 1,102.0 1,234.6 2,195.4
Cash, cash equivalents, and restricted cash equivalents, end of year [1] 1,559.2 1,102.0 1,234.6
Supplemental data:      
Interest paid 147.1 137.0 79.0
Income taxes paid $ 144.3 $ 150.2 $ 176.8
[1] Cash, cash equivalents and restricted cash and cash equivalents shown on our Consolidated Statements of Cash Flow includes amounts in the Cash and cash equivalents, Restricted cash and cash equivalents, and Long-term restricted cash and cash equivalents on our Consolidated Balance Sheet.