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Cash, Cash Equivalents, Restricted Cash, and Short-term Investments (Tables)
9 Months Ended
Sep. 30, 2025
Short-Term Investments And Fair Value Measurement [Abstract]  
Schedule of Cash, Restricted Cash and Short-term Investments
The following tables summarize the Company's cash, cash equivalents, restricted cash and short-term investments as of September 30, 2025 and December 31, 2024:

 As of September 30, 2025
 Amortized CostGross Unrealized GainsGross Unrealized LossesEstimated Fair ValueCash and Cash EquivalentsShort-term InvestmentsOther Current AssetsNon-current Assets
 (in thousands)
Cash$4,587,643 $— $— $4,587,643 $4,584,122 $— $3,437 $84 
Level 1 securities:
Money market funds4,137,331 — — 4,137,331 4,137,271 — — 60 
Level 2 securities:
Time Deposits(1)
602,999 — — 602,999 565,894 37,105 — — 
$9,327,973 $— $— $9,327,973 $9,287,287 $37,105 $3,437 $144 

 As of December 31, 2024
 Amortized CostGross Unrealized GainsGross Unrealized LossesEstimated Fair ValueCash and Cash EquivalentsShort-term InvestmentsOther Current AssetsNon-current Assets
 (in thousands)
Cash$4,866,753 $— $— $4,866,753 $4,864,207 $— $2,472 $74 
Level 1 securities:
Money market funds2,676,314 — — 2,676,314 2,676,256 — — 58 
Level 2 securities:
Time Deposits(1)
301,374 — — 301,374 264,270 37,104 — — 
Government securities1,738,642 3,260 — 1,741,902 — 1,741,902 — — 
$9,583,083 $3,260 $— $9,586,343 $7,804,733 $1,779,006 $2,472 $132 
(1) The majority of the Company's time deposits are international deposits, which mature within one year.