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Fair Value Measurements
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Fair Value Measurements Fair Value Measurements
The following tables show the Company’s cash, cash equivalents, and short-term investments by significant investment category (in thousands):
December 31, 2025
Amortized CostUnrealized GainsUnrealized LossesFair ValueCash and Cash EquivalentsShort-term Investments
Cash$30,648 $— $— $30,648 $30,648 $— 
Level 1:
Money market funds17,156 — — 17,156 17,156 — 
Level 2(1):
Commercial paper13,035 — 13,037 2,989 10,048 
Corporate debt499 — — 499 — 499 
U.S. agency securities— — — — — — 
U.S. treasury securities16,863 — 16,869 — 16,869 
Subtotal30,397 — 30,405 2,989 27,416 
Total$78,201 $$— $78,209 $50,793 $27,416 
December 31, 2024
Amortized CostUnrealized GainsUnrealized LossesFair ValueCash and Cash EquivalentsShort-term Investments
Cash$3,284 $— $— $3,284 $3,284 $— 
Level 1:
Money market funds15,980 — — 15,980 15,980 — 
Level 2(1):
Commercial paper6,768 — 6,769 — 6,769 
Corporate debt17,187 (15)17,180 — 17,180 
U.S. agency securities1,989 — 1,991 — 1,991 
U.S. treasury securities28,198 56 — 28,254 — 28,254 
Subtotal54,142 67 (15)54,194 — 54,194 
Total$73,406 $67 $(15)$73,458 $19,264 $54,194 
(1) The valuation techniques used to measure the fair values of the Company’s Level 2 financial instruments use inputs that are either directly or indirectly observable for the asset through correlation with market data at the measurement date and for the duration of the instrument’s anticipated life.
We limit the credit risk associated with our cash equivalents and short-term investments by placing them with banks and institutions we believe are highly credit-worthy and investing in highly-rated investments. As of December 31, 2025, the contractual maturity of all investments held was less than one year.
During the years ended December 31, 2025 and 2024, we did not recognize any significant credit losses nor other-than-temporary impairment losses on our short-term investments.