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CASH EQUIVALENTS AND INVESTMENTS (Tables)
12 Months Ended
Dec. 31, 2025
Cash and Cash Equivalents [Abstract]  
Cash and Cash Equivalents
The tables below provide additional information on the Company’s cash equivalents and investments:
As of December 31, 2025
CostGross Unrealized GainsFair Value
Consolidated Balance Sheet location
Cash and cash equivalentsShort-term investmentsOther assets
Certificates of deposit and money market deposit accounts/funds (1)
$1,459 $ $1,459 $1,393 $64 $2 
Mutual funds$95 $13 $108 $ $ $108 
As of December 31, 2024
CostGross Unrealized GainsFair Value
Consolidated Balance Sheet location
Cash and cash equivalentsShort-term investmentsOther assets
Certificates of deposit and money market deposit accounts/funds (1)
$1,911 $— $1,911 $1,345 $566 $— 
Mutual funds$88 $10 $98 $— $— $98 
(1)     Consists of time deposits, money market deposit accounts and money market funds. The remaining contractual maturities for the certificates of deposits classified as short-term investments are 1 month to 12 months at both December 31, 2025 and December 31, 2024. The remaining contractual maturities for the certificates of deposit classified in other assets are 13 months to 22 months at December 31, 2025. Time deposits with a maturity of less than 90 days at time of purchase are classified as cash and cash equivalents.