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Cash Equivalents and Marketable Securities (Tables)
6 Months Ended
Jun. 30, 2020
Investments, Debt and Equity Securities [Abstract]  
Schedule of Marketable Securities
At June 30, 2020, cash equivalents and marketable securities consisted of the following (in thousands):
Amortized Cost
Unrealized Gains
Unrealized Losses
Aggregate Fair Value
Money market funds$378,501  $—  $—  $378,501  
Commercial paper8,959  —  —  8,959  
U.S. treasury debt securities20,860  190  —  21,050  
U.S. corporate debt securities75,844  599  (1) 76,442  
$484,164  $789  $(1) $484,952  
Included in cash and cash equivalents$378,501  $—  $—  $378,501  
Included in marketable securities$105,663  $789  $(1) $106,451  
At December 31, 2019, cash equivalents and marketable securities consisted of the following (in thousands):
Amortized Cost
Unrealized Gains
Unrealized Losses
Aggregate Fair Value
Money market funds$360,471  $—  $—  $360,471  
U.S. treasury debt securities10,342   (1) 10,349  
U.S. corporate debt securities95,706  164  (5) 95,865  
$466,519  $172  $(6) $466,685  
Included in cash and cash equivalents$360,471  $—  $—  $360,471  
Included in marketable securities$106,048  $172  $(6) $106,214  
Schedule of Cash and Cash Equivalents
At June 30, 2020, cash equivalents and marketable securities consisted of the following (in thousands):
Amortized Cost
Unrealized Gains
Unrealized Losses
Aggregate Fair Value
Money market funds$378,501  $—  $—  $378,501  
Commercial paper8,959  —  —  8,959  
U.S. treasury debt securities20,860  190  —  21,050  
U.S. corporate debt securities75,844  599  (1) 76,442  
$484,164  $789  $(1) $484,952  
Included in cash and cash equivalents$378,501  $—  $—  $378,501  
Included in marketable securities$105,663  $789  $(1) $106,451  
At December 31, 2019, cash equivalents and marketable securities consisted of the following (in thousands):
Amortized Cost
Unrealized Gains
Unrealized Losses
Aggregate Fair Value
Money market funds$360,471  $—  $—  $360,471  
U.S. treasury debt securities10,342   (1) 10,349  
U.S. corporate debt securities95,706  164  (5) 95,865  
$466,519  $172  $(6) $466,685  
Included in cash and cash equivalents$360,471  $—  $—  $360,471  
Included in marketable securities$106,048  $172  $(6) $106,214  
Schedule of Available-for-sale Securities, Continuous Unrealized Loss Position
The following table presents gross unrealized losses and fair values for those marketable securities that were in an unrealized loss position as of June 30, 2020, aggregated by investment category and the length of time that individual securities have been in a continuous loss position (in thousands):
As of June 30, 2020
Less than 12 months
12 months or greater
Fair Value
Unrealized Loss
Fair Value
Unrealized Loss
U.S. corporate debt securities$3,846  $(1) $—  $—  
Total$3,846  $(1) $—  $—