v3.26.1
Cash, Cash Equivalents, and Investments (Tables)
3 Months Ended
Apr. 30, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Summary of Components of Cash and Cash Equivalents
Cash, cash equivalents, and investments consisted of the following as of the dates indicated (in thousands):

April 30, 2026January 31, 2026
Cash and cash equivalents:
Cash$57,231 $51,006 
Money market funds150,653 185,205 
Commercial paper996 1,191 
Total cash and cash equivalents$208,880 $237,402 
Available-for-sale investments:
   U.S. Treasury securities $61,440 $60,429 
   Commercial paper5,182 2,218 
   Corporate debt securities141,566 143,490 
U.S. Government agency securities26,889 26,299 
Total available-for-sale investments$235,077 $232,436 
Summary of Components of Available-for-sale Investments
Cash, cash equivalents, and investments consisted of the following as of the dates indicated (in thousands):

April 30, 2026January 31, 2026
Cash and cash equivalents:
Cash$57,231 $51,006 
Money market funds150,653 185,205 
Commercial paper996 1,191 
Total cash and cash equivalents$208,880 $237,402 
Available-for-sale investments:
   U.S. Treasury securities $61,440 $60,429 
   Commercial paper5,182 2,218 
   Corporate debt securities141,566 143,490 
U.S. Government agency securities26,889 26,299 
Total available-for-sale investments$235,077 $232,436 
Summary of Carrying Value of Available-for-sale Investments
The following tables summarize the amortized cost, net unrealized gains (losses), and fair value of the Company’s investments by significant investment category as of the dates indicated (in thousands). Gross realized gains or losses from sales of available-for-sale securities were not material for the three months ended April 30, 2026 and 2025.

April 30, 2026
Amortized CostUnrealized Gain (Loss), NetEstimated Fair Value
Available-for-sale investments:
U.S. Treasury securities$61,467 $(27)$61,440 
Commercial paper5,183 (1)5,182 
Corporate debt securities141,775 (209)141,566 
U.S. Government agency securities26,906 (17)26,889 
Total available-for-sale investments$235,331 $(254)$235,077 
January 31, 2026
Amortized CostUnrealized Gain (Loss), NetEstimated Fair Value
Available-for-sale investments:
U.S. Treasury securities$60,357 $72 $60,429 
Commercial paper2,218 — 2,218 
Corporate debt securities143,257 233 143,490 
U.S. Government agency securities26,283 16 26,299 
Total available-for-sale investments$232,115 $321 $232,436 
Summary of Contractual Maturities of Available-for-sale Securities
The following tables present the Company’s available-for-sale securities by contractual maturity date as of the dates indicated (in thousands):

April 30, 2026
Amortized Cost
Fair Value
Due within one year$139,776 $139,819 
Due between one to five years95,555 95,258 
Total$235,331 $235,077 
January 31, 2026
Amortized Cost
Fair Value
Due within one year$142,032 $142,237 
Due between one to five years90,083 90,199 
Total$232,115 $232,436