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Fair Value of Financial Instruments (Tables)
12 Months Ended
Jan. 01, 2022
Fair Value of Financial Instruments  
Summary of valuation of the financial instruments

The following summarizes the valuation of the Company’s financial instruments (in thousands). The tables do not include either cash on hand or assets and liabilities that are measured at historical cost or any basis other than fair value.

Fair Value Measurements

at January 1, 2022 Using

Quoted Prices in

Significant Other

Significant

Active Markets for

Observable

Unobservable

Identical Assets

Inputs

Inputs

Description

    

(Level 1)

    

(Level 2)

    

(Level 3)

    

Total

Assets:

    

    

    

    

Cash equivalents:

Money market funds

$

845,740

$

$

$

845,740

Corporate debt securities

3,552

3,552

Government debt securities

2,950

2,950

Total cash equivalents

$

845,740

$

6,502

$

$

852,242

Short-term investments:

Government debt securities

$

71,509

$

119,612

$

$

191,121

Corporate debt securities

773,461

773,461

Total short-term investments

$

71,509

$

893,073

$

$

964,582

Other assets, net:

Auction rate securities

$

$

$

4,980

$

4,980

Total

$

$

$

4,980

$

4,980

Total

$

917,249

$

899,575

$

4,980

$

1,821,804

Fair Value Measurements

at January 2, 2021 Using

Quoted Prices in

Significant Other

Significant

Active Markets for

Observable

Unobservable

Identical Assets

Inputs

Inputs

Description

    

(Level 1)

    

(Level 2)

    

(Level 3)

    

Total

Assets:

    

    

    

    

Cash equivalents:

Money market funds

$

75,606

$

$

$

75,606

Corporate debt securities

 

14,995

 

 

14,995

Government debt securities

2,355

2,564

4,919

Total cash equivalents

$

77,961

$

17,559

$

$

95,520

Short-term investments:

Government debt securities

$

38,461

$

104,112

$

$

142,573

Corporate debt securities

379,390

379,390

Total short-term investments

$

38,461

$

483,502

$

$

521,963

Other assets, net:

Auction rate securities

$

$

$

5,340

$

5,340

Total

$

$

$

5,340

$

5,340

Total

$

116,422

$

501,061

$

5,340

$

622,823

Schedule of maturities of the Company's available-for-sale investments and money market funds

    

    

Fair

Cost

Value

Due in one year or less

$

578,734

$

578,666

Due after one year through ten years

394,391

392,417

Due after ten years

6,000

4,980

$

979,125

$

976,063

Schedule of available-for-sale investments in continuous unrealized loss position by length of time

The available-for-sale investments that were in a continuous unrealized loss position, aggregated by length of time that individual securities have been in a continuous loss position, were as follows (in thousands):

Less Than 12 Months

12 Months or Greater

Total

Gross

Gross

Gross

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

As of January 1, 2022

    

Value

    

Losses

    

Value

    

Losses

    

Value

    

Losses

Government debt securities

$

126,957

$

(750)

$

$

$

126,957

$

(750)

Corporate debt securities

 

418,917

 

(1,451)

 

326

 

(1)

 

419,243

 

(1,452)

Auction rate securities

4,980

(1,020)

4,980

(1,020)

$

545,874

$

(2,201)

$

5,306

$

(1,021)

$

551,180

$

(3,222)

Less Than 12 Months

12 Months or Greater

Total

Gross

Gross

Gross

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

As of January 2, 2021

    

Value

    

Losses

    

Value

    

Losses

    

Value

    

Losses

Government debt securities

$

10,146

$

(5)

$

$

$

10,146

$

(5)

Corporate debt securities

 

51,909

(74)

51,909

(74)

Auction rate securities

5,340

(660)

5,340

(660)

$

62,055

$

(79)

$

5,340

$

(660)

$

67,395

$

(739)

Summary of quantitative information about level 3 fair value measurements

Auction rate securities

Fair Value at

January 1, 2022

(000s)

    

Valuation Technique

    

Unobservable Input

    

Weighted Average

$

4,980

 

Discounted cash flow

 

Estimated yield

 

1.07%

 

Expected holding period

10 years

 

Estimated discount rate

 

2.45%

Summary of activity in Level 3 financial instruments

Assets

Year Ended

 

January 1,

January 2,

Auction Rate Securities

 

2022

    

2021

Beginning balance

$

5,340

$

5,647

Losses included in other comprehensive income (loss)

 

(360)

 

(307)

Ending balance

$

4,980

$

5,340