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Fair Value Measurements - Schedule of Financial Assets and Liabilities, Recurring Basis (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2020
Dec. 31, 2019
Fair Value Measurements    
Short-term investments $ 213,974 $ 245,599
Recurring basis    
Fair Value Measurements    
Cash equivalents 244,469 216,491
Short-term investments 213,974 245,599
Total assets measured at fair value 464,595 472,392
Total liabilities measured at fair value 587 593
Recurring basis | Fuel derivative contracts    
Fair Value Measurements    
Derivative assets 520 5,878
Recurring basis | Foreign currency derivatives    
Fair Value Measurements    
Derivative assets 5,632 4,424
Foreign currency derivatives 587 593
Recurring basis | Level 1    
Fair Value Measurements    
Cash equivalents 238,478 205,943
Short-term investments 0 0
Total assets measured at fair value 238,478 205,943
Total liabilities measured at fair value 0 0
Recurring basis | Level 1 | Fuel derivative contracts    
Fair Value Measurements    
Derivative assets 0 0
Recurring basis | Level 1 | Foreign currency derivatives    
Fair Value Measurements    
Derivative assets 0 0
Foreign currency derivatives 0 0
Recurring basis | Level 2    
Fair Value Measurements    
Cash equivalents 5,991 10,548
Short-term investments 213,974 245,599
Total assets measured at fair value 226,117 266,449
Total liabilities measured at fair value 587 593
Recurring basis | Level 2 | Fuel derivative contracts    
Fair Value Measurements    
Derivative assets 520 5,878
Recurring basis | Level 2 | Foreign currency derivatives    
Fair Value Measurements    
Derivative assets 5,632 4,424
Foreign currency derivatives 587 593
Recurring basis | Level 3    
Fair Value Measurements    
Cash equivalents 0 0
Short-term investments 0 0
Total assets measured at fair value 0 0
Total liabilities measured at fair value 0 0
Recurring basis | Level 3 | Fuel derivative contracts    
Fair Value Measurements    
Derivative assets 0 0
Recurring basis | Level 3 | Foreign currency derivatives    
Fair Value Measurements    
Derivative assets 0 0
Foreign currency derivatives $ 0 0
Corporate debt securities    
Fair Value Measurements    
Maximum remaining maturity of short-term investments 2 years  
Corporate debt securities | Recurring basis    
Fair Value Measurements    
Short-term investments $ 99,686 100,713
Corporate debt securities | Recurring basis | Level 1    
Fair Value Measurements    
Short-term investments 0 0
Corporate debt securities | Recurring basis | Level 2    
Fair Value Measurements    
Short-term investments 99,686 100,713
Corporate debt securities | Recurring basis | Level 3    
Fair Value Measurements    
Short-term investments $ 0 0
U.S. government and agency securities    
Fair Value Measurements    
Maximum remaining maturity of short-term investments 2 years  
U.S. government and agency securities | Recurring basis    
Fair Value Measurements    
Short-term investments $ 69,853 75,481
U.S. government and agency securities | Recurring basis | Level 1    
Fair Value Measurements    
Short-term investments 0 0
U.S. government and agency securities | Recurring basis | Level 2    
Fair Value Measurements    
Short-term investments 69,853 75,481
U.S. government and agency securities | Recurring basis | Level 3    
Fair Value Measurements    
Short-term investments $ 0 0
Other fixed income securities    
Fair Value Measurements    
Maximum remaining maturity of short-term investments 1 year  
Other fixed income securities | Recurring basis    
Fair Value Measurements    
Short-term investments $ 44,435 69,405
Other fixed income securities | Recurring basis | Level 1    
Fair Value Measurements    
Short-term investments 0 0
Other fixed income securities | Recurring basis | Level 2    
Fair Value Measurements    
Short-term investments 44,435 69,405
Other fixed income securities | Recurring basis | Level 3    
Fair Value Measurements    
Short-term investments $ 0 $ 0